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Research classified by Journal of Economic Literature (JEL) codes


Top JEL
/ P: Economic Systems
/ / P3: Socialist Institutions and Their Transitions
/ / / P34: Finance
Most recent items first, undated at the end.
  • 2015 The Real Value of China's Stock Market
    by Jennifer N. Carpenter & Fangzhou Lu & Robert F. Whitelaw

  • 2015 Financial System Development and Economic Growth in Transition Economies:New Empirical Evidence from the CEE and CIS Countries
    by Laura Cojocaru & Evangelos M. Falaris & Saul Hoffman & Jeffrey B. Miller

  • 2015 Applying the New Metafrontier Directional Distance Function to Compare Banking Efficiencies in Central and Eastern European Countries
    by Huang, Tai-Hsin & Chiang, Dien-Lin & Tsai, Chao-Min

  • 2015 The Impacts of Microcredit: Evidence from Bosnia and Herzegovina
    by Britta Augsburg & Ralph De Haas & Heike Harmgart & Costas Meghir

  • 2015 Six Randomized Evaluations of Microcredit: Introduction and Further Steps
    by Abhijit Banerjee & Dean Karlan & Jonathan Zinman

  • 2014 The Balkan and Baltic experience of financial services privatization
    by Consigilio, John

  • 2014 Credit Booms and Busts in Emerging Markets: The Role of Bank Governance and Risk Managment
    by Andries, Alin Marius & Brown, Martin

  • 2014 Bubbles and Trading Frenzies : Evidence from the Art Market
    by Penasse, J.N.G. & Renneboog, L.D.R.

  • 2014 Bubbles and Trading Frenzies : Evidence from the Art Market
    by Penasse, J.N.G. & Renneboog, L.D.R.

  • 2014 Understanding Financial Inclusion in China
    by Zuzana Fungácová & Laurent Weill

  • 2014 Understanding financial inclusion in China
    by Fungácová, Zuzana & Weill, Laurent

  • 2014 Determinants of Bank Profitability in Turkey: An Empirical Analysis on Types of Banking from 2002 to 2012
    by Başçi, Eşref Savaş & Sakinç, Öznur

  • 2014 Financial Structure, Income Inequality and Privatization of Risk in the EU
    by Christos Triantopoulos

  • 2014 Austrian Subsidiaries’ Profitability in the Czech Republic and Slovakia – CESEE Margins with an Austrian Risk Profile
    by Stefan Kavan & Daniela Widhalm

  • 2014 Macrofinancial Developments in Ukraine, Russia and Turkey from an Austrian Financial Stability Perspective
    by Stephan Barisitz & Mathias Lahnsteiner & Daniela Widhalm & Tina Wittenberger

  • 2014 Macrofinancial Developments and Systemic Change in CIS Central Asia from 2009 to 2014
    by Stephan Barisitz

  • 2014 A skew test on financial returns in the Colombian market
    by Marisol Valencia & Alejandro Bedoya

  • 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 Do more competitive banks have less market power? The evidence from Central and Eastern Europe
    by Lapteacru, Ion

  • 2014 Global financial crisis, corporate governance, and firm survival:
    by Iwasaki, Ichiro

  • 2014 Institutional development and bank stability: Evidence from transition countries
    by Fang, Yiwei & Hasan, Iftekhar & Marton, Katherin

  • 2014 Effects of regulator's announcements, information asymmetry and ownership changes on private equity placements: Evidence from China
    by Fonseka, M.M. & Colombage, Sisira R.N. & Tian, Gao-Liang

  • 2014 Bank valuation in new EU member countries
    by Fang, Yiwei & Hasan, Iftekhar & Marton, Katherin & Waisman, Maya

  • 2014 Privatization And Survival – Evidence From A Russian Firm Survey
    by Carsten Sprenger

  • 2014 Cointegration of Capital Markets in ASEAN-5 Countries
    by Channarong Chaiphat

  • 2013 Impact of climate variation on agricultural productivity and food security in rural India
    by Kumar, Ajay & Sharma, Pritee

  • 2013 The effect of Bank Concentration on Entrepreneurship in Central and Eastern European Transition Countries_x0003_
    by Claudia Capozza & Angela Stefania Bergantino

  • 2013 Microfinance Banks and Household Access to Finance
    by Brown, Martin & Guin, Benjamin & Kirschenmann, Karolin

  • 2013 Empirical Evidence on Relationships between Ex Ante Innovation Pursuit and Post-M&A Performance in the Vietnamese M&A Industry, 2005-2012
    by Quan Hoang Vuong & Nancy K. Napier & Donaldine E. Samson & Hong Kong Nguyen

  • 2013 Growth, De-Regulation and Rent-Seeking in Post-War British Economy
    by S.P. Chakravarty & D.D. Thomakos & K. Nikolopoulos

  • 2013 Econometric Analysis of Profitability of Microfinance Institutions in Selected Asian Countries
    by Janda, Karel & Turbat, Batbayar

  • 2013 Factors Influencing Portfolio Yield of Microfinance Institutions in Central Asia
    by Janda, Karel & Turbat, Batbayar

  • 2013 The effects of foreign and government ownership on bank lending behavior during a crisis in Central and Eastern Europe
    by Allen, Franklin & Jackowicz, Krzysztof & Kowalewski, Oskar

  • 2013 Un modèle social-démocrate pour la Chine ? Remarques critiques sur la voie chinoise : capitalisme et empire de Michel Aglietta et Guo Bai
    by Tony Andréani & Rémy Herrera

  • 2013 Global Financial Crisis, Corporate Governance, and Firm Survival: The Russian Experience
    by Iwasaki, Ichiro

  • 2013 Firm-Level Determinants of Board System Choice: Evidence from Russia
    by Iwasaki, Ichiro

  • 2013 Soviet foreign trade and the money supply
    by Nakamura , Yasushi

  • 2013 Impact of Political Regime Shift on Stock Returns of Oligarch Firms
    by Zadorozhna Olha & Zaderey Natalia

  • 2013 The Outcome of Directed Lending in Belarus: Mitigating Recession or Dampening Long-Run Growth?
    by Kruk Dzmitry & Haiduk Kiryl

  • 2013 Growth, de-regulation and rent-seeking in post-war British Economy
    by Shanti Chakravarty & Dimitrios Thomakos & Konstantinos Nikolo

  • 2013 The Outcome of Directed Lending in Belarus: Mitigating Recession or Dampening Long-Run Growth?
    by Dzmitry Kruk & Kiryl Haiduk

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

  • 2013 Credit Boom in Russia despite Global Woes – Driving Forces and Risks
    by Stephan Barisitz

  • 2013 Do Investors See Through Accounting Profitability and Recognize Efficiency? Evidence from Chinese Listed Companies
    by Wenjuan Xie

  • 2013 Bank Stress Tests as an Information Device for Emerging Markets: The Case of Russia
    by Zuzana Fungacova & Petr Jakubik

  • 2013 Financial Management in SMEs
    by Irena Jindrichovska

  • 2013 Implications of banking marketization for the lending channel of monetary policy transmission: Evidence from China
    by Hou, Xiaohui & Wang, Qing

  • 2013 Does CEO turnover matter in China? Evidence from the stock market
    by Pessarossi, Pierre & Weill, Laurent

  • 2013 Why do people save in cash? Distrust, memories of banking crises, weak institutions and dollarization
    by Stix, Helmut

  • 2013 Do broker/analyst conflicts matter? Detecting evidence from internet trading platforms
    by Hanousek, Jan & Kopřiva, František

  • 2013 Corporate evolution following initial public offerings in China: A life-course approach
    by Liu, Jia & Lister, Roger & Pang, Dong

  • 2013 The influence of bank ownership on credit supply: Evidence from the recent financial crisis
    by Fungáčová, Zuzana & Herrala, Risto & Weill, Laurent

  • 2013 Choice of corporate debt in China: The role of state ownership
    by Pessarossi, Pierre & Weill, Laurent

  • 2013 Venture capital and private equity industry in Hungary
    by Judit Karsai

  • 2013 Testing the Efficient Markets Hypothesis on the Romanian Capital Market
    by Drags Mînjina & Petre Brezeanu

  • 2012 What Did the Study of Transition Economies Contribute to Mainstream Economics?
    by M. Ellman.

  • 2012 How do banks screen innovative firms? Evidence from start-up panel data
    by Brown, Martin & Degryse, Hans & Höwer, Daniel & Penas, María Fabiana

  • 2012 Foreign Bank Ownership and Household Credit
    by Beck, Thorsten

  • 2012 State - owned banks from Romania
    by Dumitriu, Ramona & Stefanescu, Razvan & Nistor, Costel

  • 2012 A decomposition analysis of capital structure: evidence from Pakistan’s manufacturing sector
    by Javed, Attiya Yasmin & Imad, Qaisar

  • 2012 Non-standardized form of CAPM and stock returns
    by Muhammad, Irfan

  • 2012 Why Do People Save in Cash? Distrust, Memories of Banking Crises, Weak Institutions and Dollarization
    by Helmut Stix

  • 2012 企業統治と組織淘汰−−世界金融危機とロシア企業−−
    by 岩﨑, 一郎

  • 2012 Does CEO turnover matter in China? Evidence from the stock market
    by Pessarossi, Pierre & Weill, Laurent

  • 2012 Bank stress tests as an information device for emerging markets: The case of Russia
    by Fungácová, Zuzana & Jakubík, Petr

  • 2012 Development of the Hungarian Venture Capital and Private Equity Industry over the Past Two Decades
    by Judit Karsai

  • 2012 Bank Stress Tests as an Information Device for Emerging Markets: The Case of Russia
    by Zuzana Fungáèová & Petr Jakubík

  • 2012 Foreign banks and the Vienna Initiative: turning sinners into saints
    by Ralph De Haas & Yevgeniya Korniyenko & Elena Loukoianova & Alexander Pivovarsky

  • 2012 Animal Spirits in the Euro Area Sovereign CDS Market
    by Blommestein, Hans J. & Eijffinger, Sylvester C W & Qian, Zongxin

  • 2012 Foreign Banks and the Vienna Initiative: Turning Sinners into Saints?
    by Ralph De Haas & Yevgeniya Korniyenko & Elena Loukoianova & Alexander Pivovarsky

  • 2012 Ukrainian Banks Face Heightened Uncertainty and Challenges
    by Stephan Barisitz & Ulrich Gunter & Mathias Lahnsteiner

  • 2012 Managing Systemic Risk
    by Constanþa Chitiba

  • 2012 Short-sale constraints: Reductions in costs of capital or overvaluation? Evidence from Hong Kong
    by Chang, Eric C. & Cheng, Joseph W. & Pinegar, J. Michael & Yu, Yinghui

  • 2012 The determinants and consequences of IPOs in a regulated economy: Evidence from China
    by Fang, Junxiong & Shi, Haina & Xu, Haoping

  • 2012 Macroeconomic uncertainty and bank lending: The case of Ukraine
    by Talavera, Oleksandr & Tsapin, Andriy & Zholud, Oleksandr

  • 2012 Foreign bank lending and information asymmetries in China: Empirical evidence from the syndicated loan market
    by Pessarossi, Pierre & Godlewski, Christophe J. & Weill, Laurent

  • 2011 Use of Banking Services in Emerging Markets -Household-Level Evidence (Replaces CentER DP 2010-092)
    by Beck, T.H.L. & Brown, M.

  • 2011 Which Households Use Banks? Evidence from the Transition Economies
    by Thorsten Beck & Martin Brown

  • 2011 Asset price, asset securitization and financial stability
    by Liu, Luke

  • 2011 Crowdfunding: disintermediated investment banking
    by Rubinton, Brian J

  • 2011 Statistik der öffentlichen Unternehmen in Deutschland : die Datenbasis
    by Irina Dietrich & Hans Gerhard Strohe

  • 2011 Monetary and Fiscal Stimuli, Ownership Structure, and China's Housing Market
    by Yongheng Deng & Randall Morck & Jing Wu & Bernard Yeung

  • 2011 Foreign Bank Lending and Information Asymmetries in China
    by Pierre Pessarossi & Christophe J. Godlewski & Laurent Weill

  • 2011 The Challenges Confronting the Banking System Reform in China: An Analysis in Light of Japan's Experience of Financial Liberalization
    by Kumiko Okazaki & Masazumi Hattori & Wataru Takahashi

  • 2011 Macro-financial Linkage and Financial Deepening in China after the Global Financial Crisis
    by Kumiko Okazaki & Tomoyuki Fukumoto

  • 2011 Monetary and Fiscal Stimuli, Ownership Structure, and China's Housing Market
    by Deng, Yongheng & Morck, Randall & Wu, Jing & Yeung, Bernard

  • 2011 Market reforms, legal changes and bank risk-taking – evidence from transition economies
    by Fang , Yiwei & Hasan, Iftekhar & Marton, Katherin

  • 2011 Bank efficiency in transition economies: recent evidence from South-Eastern Europe
    by Fang, Yiwei & Hasan, Iftekhar & Marton, Katherin

  • 2011 Like China, the Chinese banking sector is in a class of its own
    by Fungacova, Zuzana & Korhonen, Iikka

  • 2011 Choice of Corporate Debt in China: The Role of State Ownership
    by Weill, Laurent & Pessarossi , Pierre

  • 2011 Vietnam's SCIC: A gradualist approach to sovereign wealth funds
    by DT Nguyen & Tran-Phuc Nguyen & Jeremy Nguyen

  • 2011 Financial Development and Economic Growth in Transition Economies: Empirical Evidence from the CEE and CIS Countries
    by Laura Cojocaru & Saul Hoffman & Jeffrey Miller

  • 2011 Use of Banking Services in Emerging Markets--Household-Level Evidence
    by Beck, Thorsten & Brown, Martin

  • 2011 Financial inclusion - G20 initiatives and the role of the Bank of Italy
    by Giorgio Gomel & Fabio Bernasconi & Margherita Laura Cartechini & Veronica Fucile & Riccardo Settimo & Roberto Staiano

  • 2011 Determinants of Firm Delisting on the Prague Stock Exchange
    by Zuzana Fungáčová & Jan Hanousek

  • 2011 Detecting Information-Driven Trading in a Dealers Market
    by Jan Hanousek & František Kopøiva

  • 2011 Determinants of bank interest margins in Russia: Does bank ownership matter?
    by Fungáčová, Zuzana & Poghosyan, Tigran

  • 2011 How Sovereign Is Sovereign Credit Risk?
    by Francis A. Longstaff & Jun Pan & Lasse H. Pedersen & Kenneth J. Singleton

  • 2010 Ryzyko struktury: Rys koncepcyjny
    by Staszkiewicz, Piotr W.

  • 2010 A Note on the Post-Revolution Iranian Economy and the Banking Sector
    by Dehghan Nejad, Omid

  • 2010 China in the Global Economy
    by Sunanda Sen

  • 2010 Market Power in the Russian Banking Industry
    by Zuzana Fungacova & Laura Solanko & Laurent Weill

  • 2010 How Market Power Influences Bank Failures Evidence from Russia
    by Zuzana Fungacova & Laurent Weill

  • 2010 Separation of Control and Cash-Flow Rights of State Owned Listed Enterprises: Channels of Expropriation after the Discriminated Share Reform in China
    by Watanabe, Mariko

  • 2010 The Extreme Risk Problem for Monetary Policies of the Euro-Candidates
    by Hubert Gabrisch & Lucjan T. Orlowski

  • 2010 Organizational Culture and Corporate Governance in Russia : A Study of Managerial Turnover
    by Abe, Naohito & Iwasaki, Ichiro

  • 2010 Foreign bank lending and information asymmetries in China
    by Pessarossi, Pierre & Godlewski, Christophe J. & Weill, Laurent

  • 2010 The effect of deposit insurance on market discipline: Evidence from a natural experiment on deposit flows
    by Karas, Alexei & Pyle, William & Schoors, Koen

  • 2010 Market power in the Russian banking industry
    by Fungacova, Zuzana & Solanko, Laura & Weill, Laurent

  • 2010 Croatian Wage Inequality and Wage Differentials, 1970-2008: Measurement and Determinants
    by Ivo Bicanic & Saul D. Hoffman & Oriana Vukoja

  • 2010 Planning Optimal From The Firm Value Creation Perspective. Levels Of Operating Cash Investments
    by Michalski, Grzegorz

  • 2010 Investment Factor Of Economic Development In Uzbekistan
    by RAVSHAN YULDASHEV

  • 2010 Russian Banks on the Route of Fragile Recovery
    by Stephan Barisitz & Mathias Lahnsteiner

  • 2010 Crisis Response Policies in Russia, Ukraine, Kazakhstan and Belarus – Stock-Taking and Comparative Assessment
    by Stephan Barisitz & Hans Holzhacker & Olena Lytvyn & Lyaziza Sabyrova

  • 2010 Privatization, Foreign Acquisition, and Firm Performance: A New Empirical Methodology and its Application to Hungary
    by Miklós Szanyi & Péter Csizmadia & Miklós Illéssy & Csaba Makó

  • 2010 Operational performance of commercial banks in the Chinese transitioal economy
    by Hsiu-Ling Wu & Chien-Hsun Chen

  • 2010 Financial liberalization, financial development and growth linkages in Sub-Saharan African countries: An empirical investigation
    by Abdullahi D. Ahmed

  • 2010 Market power in the russian banking industry
    by Zuzana Fungácová & Laura Solanko & Laurent Weill

  • 2010 Impact Of Current Financial Crisis On Disclosures On Financial Instruments
    by Maria Carmen Huian

  • 2009 Some Benefits of Reducing Inflation in South Africa
    by Rangan Gupta & Josine Uwilingiye

  • 2009 Bank competition, institutional strength and financial reforms in Central and Eastern Europe and the EU
    by Delis, Manthos D & Pagoulatos, George

  • 2009 Asymmetric Information and Loan Spreads in Russia: Evidence from Syndicated Loans
    by Zuzana Fungacova & Christophe J. Godlewski & Laurent Weill

  • 2009 Determinants of bank interest margins in Russia: Does bank ownership matter?
    by Fungacova, Zuzana & Poghosyan, Tigran

  • 2009 How market power influences bank failures: Evidence from Russia
    by Fungacova, Zuzana & Weill, Laurent

  • 2009 Asymmetric Information and Loan Spreads in Russia: Evidence from Syndicated Loans
    by Fungacova, Zuzana & Godlewski, Christophe J. & Weill, Laurent

  • 2009 Portfolio and short-term capital inflows to the new and potential EU countries: Patterns, determinants and policy responses
    by PIROVANO Mara & VANNESTE, Jacques & VAN POECK, André

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

  • 2009 Process and Effects of Financial Liberalization in Transition Countries: A Selective Literature Survey
    by Claude Berthomieu & Anastasia Ri

  • 2009 Stock Market Como Vement In The European Union And Transition Countries
    by Harrison, Barry & Moore, Winston

  • 2009 Asupra Posibilităţii Utilizării Unui Model De Optimizare Pentru Obţinerea Sustenabilităţii
    by Dinga, Emil

  • 2009 The Capital’s Election Criteria Used in the Financial Management of a Company’s Financing Decision
    by Camelia OPREAN & Constantin OPREAN

  • 2009 The Development of the Romanian Capital Market: Evidences on Information Efficiency
    by Dragota, Victor & Stoian, Andreea & Pele, Daniel Traian & Mitrica, Eugen & Bensafta, Malik

  • 2009 Le Resultat Financier Des Assureur Et Le Contenu Economique De Celui-Ci
    by Ludmila Cobzari & Stanislav Fotescu1

  • 2009 Financing Channels and the Performance of Chinese Small and Medium High-Tech Enterprises
    by Yanwei Chen & Liang Lei

  • 2009 Macrofinancial Developments and Systemic Change in CIS Central Asia
    by Stephan Barisitz

  • 2009 Public and Financial Institutions in Transition Economies: An Overview and Recent Evidences from Central and Eastern Europe
    by Cristian Dragos & Daniela Beju & Simona Dragos

  • 2009 Duration of Regional Unemployment Spells in Slovenia
    by Darja Borsic & Alenka Kavkler

  • 2009 Financial constraints, agency cost and firm¡¯s investment behavior: Evidence from listed companies of China
    by MA Junlu & LI Zeguang

  • 2008 Signals of foreign bank entry on real sector FDI and foreign trade and their impact on economic development in the New EU Member States
    by Roessl, Petra & Haiss, Peter

  • 2008 Information Sharing and Credit: Firm-Level Evidence from Transition Countries
    by Brown, Martin & Jappelli, Tullio & Pagano, Marco

  • 2008 Information sharing and credit: Firm-level evidence from transition countries
    by Brown, Martin & Jappelli, Tullio & Pagano, Marco

  • 2008 Are private banks more efficient than public banks? Evidence from Russia
    by A. KARAS & K. SCHOORS & L. WEILL

  • 2008 Information Sharing and Credit: Firm-Level Evidence from Transition Countries
    by Martin Brown & Tullio Jappelli & Marco Pagano

  • 2008 The Financial Social Accounting Matrix for China, 2002, and Its Application to a Multiplier Analysis
    by Li, Jia

  • 2008 Macroeconomic Variables and Stock Market Performance: Testing for Dynamic Linkages with a Known Structural Break
    by Rashid, Abdul

  • 2008 The vulnerability of enterprise and the operating financial balance
    by Caruntu, Genu Alexandru & Romanescu, Marcel Laurentiu

  • 2008 The Provision of Long-term Financing in the Transition Economies
    by Nikola Tasic & Neven Valev

  • 2008 Are private banks more efficient than public banks ? Evidence from Russia
    by Alexei Karas & Koen Schoors & Laurent Weill

  • 2008 Risk-taking by Russian banks: Do location, ownership and size matter?
    by Fungacova, Zuzana & Solanko, Laura

  • 2008 Banking in transition countries
    by Bonin, John & Hasan, Iftekhar & Wachtel, Paul

  • 2008 Are private banks more efficient than public banks? Evidence from Russia
    by Karas, Alexei & Schoors , Koen & Weill, Laurent

  • 2008 Codes of Good Governance in Hungary
    by Zsolt Bedo & Eva Ozsvald

  • 2008 Source of Information-Driven Trading on the Prague Stock Exchange
    by Frantisek Kopriva

  • 2008 Banking Transformation (1989 - 2006) in Central and Eastern Europe - With Special Reference to Balkans
    by Stephan Barisitz

  • 2008 Value-Based Inventory Management
    by Michalski, Grzegorz

  • 2008 Value-Based Inventory Management
    by Michalski, Grzegorz

  • 2008 Determinants of Accounts Receivable Level: Portfolio Approach in Firm's Trade Credit Policy
    by Grzegorz Michalski

  • 2008 The Concept Of Autonomy In The Context Of The Economic-Financial Mechanism At The Local Public Authorities Level
    by Gheorghe GAVRILAS

  • 2007 Information Sharing and Credit: Firm-Level Evidence from Transition Countries
    by Martin Brown & Tullio Jappelli & Marco Pagano

  • 2007 Banking Sector Reform and Interest Rates in Transition Economies: Bank-Level Evidence from Kyrgyzstan
    by Martin Brown & Maria Rueda Maurer & Tamara Pak & Nurlanbek Tynaev

  • 2007 Information Sharing and Credit: Firm-Level Evidence from Transition Countries
    by Martin Brown & Tullio Jappelli & Marco Pagano

  • 2007 Banking reform in China: Driven by international standards and Chinese specifics
    by Kudrna, Zdenek

  • 2007 Exchange rates or stock prices, what causes what: A firm level empirical investigation
    by Rashid, Abdul

  • 2007 Institutions and Foreign Investment: China versus the World
    by Joseph P.H. Fan & Randall Morck & Lixin Colin Xu & Bernard Yeung

  • 2007 External Relationship of Russian Corporations
    by Avdasheva, Svetlana & Golikova, Victoria & Sugiura, Fumikazu & Yakovlev, Andrei

  • 2007 The Internal Control System of Russian Corporations
    by Abe, Naohito & Dolgopyatova, Tatiana G. & Iwasaki, Ichiro

  • 2007 Russia's banking sector transition: Where to?
    by Vernikov , Andrei V.

  • 2007 Russian banks´ private deposit interest rates and market discipline
    by Peresetsky, A.A. & Karminsky, A.M. & Golovan, S.V.

  • 2007 The attractiveness of central eastern European countries for venture capital and private equity investors
    by Groh, Alexander P. & Liechtenstein, Heinrich & Lieser, Karsten

  • 2007 Information Sharing and Credit: Firm-Level Evidence from Transition Countries
    by Brown, Martin & Jappelli, Tullio & Pagano, Marco

  • 2007 Can the Market Fix a Wrong Administrative Decision? Massive Delisting on the Prague Stock Exchange
    by Zuzana Fungacova

  • 2007 Portofolio Managament Approach in Trade Credit Decision Making
    by Michalski, Grzegorz

  • 2007 Implications of Basel II for financial stability. Clouds are darker for developing countries
    by Mario Tonveronachi

  • 2007 Implications of Basel II for financial stability. Clouds are darker for developing countries
    by Mario Tonveronachi

  • 2007 Banking in Belarus – On a Trajectory of its Own?
    by Stephan Barisitz

  • 2006 Ownership concentration & firm performance: Evidence from an emerging market
    by Irena Grosfeld

  • 2006 China's Financial Market Fragmentation, 1978-2004
    by Li, Jia

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

  • 2006 The Uneasy Case for Fractional-Reserve Free Banking
    by van den Hauwe, Ludwig

  • 2006 The Dynamics of House Prices - International Evidence
    by Sorensen, Jens Kjaer

  • 2006 Evolution Of Dollar/Euro Exchange Rate Before And After The Birth Of Euro And Policy Implications
    by Heng Chen & Dietrich K. Fausten & Wing-Keung Wong

  • 2006 CEO Turnover, Firm Performance and Enterprise Reform in China: Evidence from New Micro Data
    by Takao Kato & Cheryl Long

  • 2006 CEO Turnover, Firm Performance and Enterprise Reform in China: Evidence from New Micro Data
    by Kato, Takao & Long, Cheryl

  • 2006 A castle built on sand: The effects of mass privatization on stock market creation in transition economies
    by Fungacova, Zuzana & Hanousek, Jan

  • 2006 Banking Sector Reforms And Equity - A Sub-Regional Analysis In Andhra Pradesh
    by K. S. Reddy & P. Prudhvikar Reddy

  • 2006 Macroeconomic Uncertainty and Bank Lending: The Case of Ukraine
    by Oleksandr Talavera & Andriy Tsapin & Oleksandr Zholud

  • 2006 Ex Ante Effects of Ex Post Managerial Ownership
    by Cornelli, Francesca & Li, David Daokui

  • 2006 Who Pays China’s Bank Restructuring Bill?
    by Guonan Ma

  • 2006 The IMF and Russia in the 1990s
    by John Odling-Smee

  • 2006 Booming, but Risky: The Ukrainian Banking Sector – Hot Spot for Foreign Strategic Investors
    by Stephan Barisitz

  • 2006 Main Features of Recent Banking Sector Developments in Selected Southeastern European Countries
    by Peter Backé & Thomas Reininger & Walko Zoltan

  • 2005 Ownership structure and firm performance in transition countries : the case of European Union new members
    by Tran Thi, Que Giang

  • 2005 Banking sector (under?) development in Central and Eastern Europe
    by von Hagen, Jürgen & Dinger, Valeriya

  • 2005 On the Mechanics of Measuring the Production of Financial Institutions
    by Jayasinghe, Milan

  • 2005 Executive Compensation, Firm Performance, and Corporate Governance in China: Evidence from Firms Listed in the Shanghai and Shenzhen Stock Exchanges
    by Takao Kato & Cheryl Long

  • 2005 Executive Compensation, Firm Performance, and Corporate Governance in China: Evidence from Firms Listed in the Shanghai and Shenzhen Stock Exchanges
    by Kato, Takao & Long, Cheryl

  • 2005 Reputation and the Soft-Budget Constraint
    by Alexei Deviatov & Barry W. Ickes

  • 2005 Building a Castle on Sand: Effects of Mass Privatization on Capital Market Creation in Transition Economies
    by Zuzana Fungacova

  • 2005 The Croatian Banking System
    by Thomas Reininger & Zoltan Walko

  • 2005 Financial Systems in Transition: Could Small Actually Be Beautiful?
    by Tuuli Koivu & Pekka Sutela

  • 2005 La revolución educativa en el plan de desarrollo hacia un Estado comunitario
    by Hebert Hernández Ayazo & Rolando Medina Miranda

  • 2004 Financial Market Integration in a Wider European Union
    by Stirbu, Corneliu

  • 2004 Executive Compensation, Firm Performance, and State Ownership in China: Evidence from New Panel Data
    by Takao Kato & Cheryl Long

  • 2004 Privatization Matters: Bank Efficiency in Transition Countries
    by John P. Bonin & Iftekhar Hasan & Paul Wachtel

  • 2004 Ownership Characteristics and Access to Finance: Evidence from a Survey of Large Privatised Companies in Hungary and Poland
    by Natalia Isachenkova & Tomasz Mickiewicz

  • 2004 Financial Crisis, Economic Recovery, and Banking Development in Russia, and other FSU Countries
    by Huang, Haizhou & Marin, Dalia & Xu, Chenggang

  • 2004 Do ‘Fat Tails’ Matter in GARCH Estimation? Stock Market Efficiency in Romania and the Czech Republic
    by Barry Harrison & David Paton

  • 2004 Dealing with financial fragility in transition economies
    by Bonin, John & Wachtel, Paul

  • 2004 Privatization matters: Bank efficiency in transition countries
    by Bonin, John P. & Hasan, Iftekhar & Wachtel, Paul

  • 2004 Bank performance, efficiency and ownership in transitition countries
    by Bonin, John P. & Hasan, Iftekhar & Wachtel, Paul

  • 2004 European financial integration and the financing of local businesses in the new EU member states
    by Ulrich Volz

  • 2004 Explaining Foreign Direct Investment in Central and Eastern Europe: an Extended Gravity Approach
    by Jaap Bos & Mindel van de Laar

  • 2004 Bank privatization - critical view of the czech deal
    by Jiří Havel

  • 2004 What Determines Leverage in Transition Countries?
    by Laurent Weill

  • 2003 Lending of first versus lending of last resort: The Bulgarian financial crisis of 1996/1997
    by Berlemann, Michael & Nenovsky, Nikolay

  • 2003 Foreign Banks and Credit Stability in Central and Eastern Europe: friends or foes? A panel data analysis
    by Ralph de Haas & Iman van Lelyveld

  • 2003 Real exhange rate misalignment in Hungary: a fractionally integrated=20 threshold model
    by Gilles DUFRENOT & Elisabeth GRIMAUD & Eug=E9nie LATIL & Val=E9rie MIGNON

  • 2003 Measuring the Value Added by Money in Trade
    by Vlad Ivanenko

  • 2003 Foreign Banks and Credit Stability in Central and Eastern Europe: A Panel Data Analysis
    by Ralph de Haas & Iman van Lelyveld

  • 2003 Foreign Banks and Credit Stability in Central and Eastern Europe: Friends or Foes? A Panel Data Analysis
    by Ralph de Haas & Iman van Lelyveld

  • 2003 Foreign Banks and Credit Stability in Central and Eastern Europe: Friends or Foes? A Panel Data Analysis
    by Ralph de Haas & Iman van Lelyveld

  • 2003 Financial Crisis, Economic Recovery and Banking Development in Former Soviet Union Economies
    by Huang, Haizhou & Marin, Dalia & Xu, Cheng-Gang

  • 2003 Credit guarantees in a credit market with adverse selection
    by Karel Janda

  • 2003 Does Underwriter Reputation Affect the Performance of IPO Issues?
    by Junbo Wang & Sheen Liu & Chunchi Wu

  • 2003 Los costos sociales de la política de seguridad democrática
    by Heber Hernández Ayazo & Jaime Bermúdez Guerrero

  • 2002 How Important Are Foreign Banks in European Transition Countries? A Comparative Analysis
    by Hanneke Bol & Jakob de Haan & Bert Scholtens & Ralph de Haas

  • 2002 Bank Discrimination in Transition Economies: Ideology, Information or Incentives?
    by Loren Brandt & Hongbin Li

  • 2002 Lending of Last Resort, Moral Hazard and Twin Crises: Lessons from the Bulgarian Financial Crisis 1996/1997
    by Michael Berlemann & Kalin Hristov & Nikolay Nenovsky

  • 2002 Determinants of Financial Distress: What Drives Bankruptcy in a Transition Economy? The Czech Republic Case
    by Lubomír Lízal

  • 2002 Educational Debt Burden and Career Choice: Evidence from a Financial Aid Experiment at NYU Law School
    by Erica Field

  • 2002 Financial Crisis, Economic Recovery and Banking Development in Former Soviet Union Economies
    by Marin, Dalia & Huang, Haizhou & Xu, Chenggang

  • 2002 Banking reform and development in transition economies
    by Steven Fries & Anita Taci

  • 2002 Credit Contraction Causes and Effects: The Czech Republic
    by Mojmír Hampl & Roman Matousek

  • 2002 The generation and distribution of central bank seigniorage in the Czech Republic, Hungary and Poland
    by Eduard Hochreiter & Riccardo Rovelli

  • 2002 The generation and distribution of central bank seigniorage in the Czech Republic, Hungary and Poland
    by Eduard Hochreiter & Riccardo Rovelli

  • 2002 The Banking Competition – State and Perspectives
    by Ivanka Krayninska

  • 2001 Effects of Bank Insolvency and Strategic Uncertainty on Corporate Restructuring in Transition Economies
    by Christa Hainz

  • 2001 Dealing with the Bad Loans of the Chinese Banks
    by John P. Bonin & Yiping Huang

  • 2001 Does Protection Harden Budget Constraints?
    by Greetje Everaert & Hylke Vandenbussche

  • 2001 Arrears as a Sign of Financial Repression in Transition Economies - The Case of Romania
    by Luoana D. Santarossa

  • 2001 Interpreting real exchange rate movements in transition countries
    by Broeck, Mark De & Sløk, Torsten

  • 2001 On the Way to European Union: Nominal and Real Convergence in Transition Countries
    by Jan Frait & Luboš Komárek

  • 2000 Soft Budget Constraints, Transition, and Industrial Change
    by Mathias Dewatripont & Gerard Roland

  • 2000 The Evolution of the Russian Saving Bank Sector During the Transition Era
    by Carree, M.A.

  • 2000 Interest and Hazard Rates of Russian Saving Banks
    by Carree, M.A.

  • 2000 Competition and Market Dynamics on the Russian Deposits Market
    by Admiraal, P-H. & Carree, M.A.

  • 2000 Patterns of legal change: shareholder and creditor rights in transition economies
    by Katharina Pistor

  • 2000 Law and finance in transition economies
    by Katharina Pistor & Martin Raiser & Stanislav Gelfer

  • 2000 Az árfolyamrendszer kiválasztása az átmenet országaiban az EMU-csatlakozás előtt
    by Szapáry, György

  • 2000 The Governance of Privatization Funds. Experiences of the Czech Republic, Poland and Slovenia. Szerkesztette: Marko Simonetti, Saul Estrin, Andreja Böhm Edward Elgar, Cheltenham, Egyesült KirályságNorthampton MA., Egyesült Államok, 1999, 194 oldal
    by Laki, Mihály

  • 2000 Tíz évvel a Röpirat angol kiadásának megjelenése után. A szerző önértékelése
    by Kornai, János

  • 2000 A költségvetési korlát megkeményítése a posztszocialista országokban
    by Kornai, János

  • 2000 Mikrohitelezés piaci alapon. Vállalkozásélénkítés intézményfejlesztéssel
    by Kállay, László

  • 2000 Central and Eastern Europe Seeks Strategic Partner
    by Kateøina Kašová

  • 1999 Portfolio Behaviour of Islamic Banks: A Case Study for Iran, 1984-1994
    by Kagigi, K.A. & Ford, J.L. & Cadle, P.J. & Makiyan, S.N.

  • 1999 On the Role of Bank Competition for Corporate Finance and Corporate Control in Transition Economies
    by Monika Schnitzer

  • 1999 Financial liberalization, multinational banks and credit supply: The case of Poland
    by Weller, Christian E.

  • 1999 Revisiting Hungary's Bankruptcy Episode
    by John P. Bonin & Mark E. Schaffer

  • 1999 Lessons from Bank Privatization in Central Europe
    by John Bonin & Paul Wachtel

  • 1999 Investment and Finance in De Novo Private Firms: Empiracal Results from the Czech Republic, Hungary and Poland
    by Andrzej Bratkowski & Irena Grosfeld & Jacek Rostowski

  • 1999 Banking Reform in China: Gradually Strengthening Pillar or Fragile Reed?
    by John P. Bonin

  • 1999 Financing Firm Start-up and Restructuring in Transition Countries: Evidence from Belarus, the Ukraine and Russia
    by Valentijn Bilsen & Elena Mitina

  • 1999 Finanszírozási szerkezet és tulajdonforma
    by Ábel, István & Öcsi, Béla

  • 1998 Central Banking and Economic Development
    by Fry, M.J.

  • 1998 Payment Systems and Economic Development in Transitional Economies
    by Fry, M.J.

  • 1998 Financial Stability and Economic Development in Transitional Economies
    by Fry, M.J.

  • 1998 Monetary Policy and Economic Development in Transitional Economies
    by Fry, M.J.

  • 1998 Delegation and Delay in Bank Privatization
    by Lorand Ambrus-Lakatos & Ulrich Hege

  • 1998 Tax Avoidance and the Allocation of Credit
    by Anna Meyendorff

  • 1998 Financial Discipline in the Enterprise Sector in Transition Countries: How Does China Compare?
    by Shumei Gao and Mark E. Schaffer & Shumei Gao and Mark E. Schaffer

  • 1998 Why did Czech Banks Switch From Loans in 1995?
    by Jeffrey H. Nilsen

  • 1998 Transformation and Rural Finance
    by Gertrud Schrieder & Franz Heidhues

  • 1998 Financial Discipline in the Enterprise Sector in Transition Countries: How Does China Compare?
    by Shumei Gao & Mark E Schaffer

  • 1998 Bank Competition and Enterprise restructuring in Transition Economies
    by Schnitzer, Monika

  • 1998 Capital Market Inflation and Privatisation in Capitalist and Post-Communist Economies
    by Jan Toporowski

  • 1998 Tízéves az adóreform
    by Gergely, István

  • 1998 A csúszó leértékelés tapasztalatai Magyarországon
    by Szapáry, György & Jakab M., Zoltán

  • 1997 Bank Privatization in Poland: The Case of Bank Slaki
    by Jeffert Aberbanellv & John Bonin

  • 1997 Transactional Structures of Bank Privatization in Central Europe and Russia
    by Anna Meyendorff & Edward A. Snyder

  • 1997 Do Firms in Transition Economies have Soft Budget Constraints? A Reconsideration of the Concepts and Evidence
    by Mark E. Schaffer

  • 1997 A kockázati tőke lehetőségei a kis- és középvállalatok finanszírozásában
    by Karsai, Judit

  • 1997 A külföldi bankok szerepe a közép-európai átmeneti gazdaságokban II
    by Wachtel, Paul

  • 1997 A külföldi bankok szerepe a közép-európai átmeneti gazdaságokban I
    by Wachtel, Paul

  • 1996 On the Transition from a Supply to a Demand-Constrained Economic System: the East European Experience
    by Haddad, L.

  • 1996 The Czech Republic's Commercial Bank: Komercni Banka
    by Edward A. Snyder & Roger C. Kormendi

  • 1996 Bank Privatization in Post-Communist Russia: The Case of Zhilsotsbank
    by Jeffrey Abarbanell & Anna Meyendorff

  • 1996 The Capital Structure of Firms in Central and Eastern Europe
    by Cornelli, Francesca & Portes, Richard & Schaffer, Mark E

  • 1996 Bankok, vállalatok, rossz hitelek és csődök Magyarországon, 1991-1994
    by Bonin, John P. & Schaffer, Mark E.

  • 1995 On the Role of Banks in Enterprise Restructuring
    by Carare, Octavian

  • 1995 Defensive and Strategic Restructuring in Central European Enterprises
    by Grosfeld, Irena & Roland, Gérard

  • 1995 A magyar bankpiac szerkezete - koncentráció, szegmentáltság, jövedelmi polarizáció
    by Várhegyi, Éva

  • 1994 Financial Systems in Transition: Is there a Case for a Bank Based System?
    by Grosfeld, Irena

  • 1994 Payments System Reforms and Monetary Policy in Emerging Market Economies in Central and Eastern Europe
    by Tomás J. T. Baliño & Juhi Dhawan & V. Sundararajan

  • 1993 Key Elements of the Reform of the Hungarian Banking System: Privatization and Portfolio Cleaning
    by Várhegyi, Eva

  • 1993 Economic Transformation and the Reform of the Financial System in Central and Eastern Europe
    by Székely, Istvan P.

  • 1992 Household Demand for Money in Poland: Theory and Evidence
    by Timothy D. Lane

  • 1992 Bank Insolvency and Stabilization in Eastern Europe
    by Daniel C. Hardy & Ashok Kumar Lahiri

  • 1991 Financial Reform in Eastern Europe: Progress With the Wrong Model
    by Corbett, Jennifer & Mayer, Colin

  • 1991 Credit Markets, Credibility, and Economic Transformation
    by Guillermo A. Calvo & Jacob A. Frenkel

  • 1991 Financial Control in the Transition from Classical Socialism to a Market Economy
    by Ronald I. McKinnon

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