Content
November 1999, Volume 28, Issue 3
- 403-429 Did the East Asian Crisis Disproportionately Hit Small Businesses in Korea?
by I. Domac & G. Ferri
July 1999, Volume 28, Issue 2
- 119-143 Individual Decision Making and Investor Welfare
by Michael J. Brennan & Walter N. Torous - 145-170 A Base Model for Multifactor Specifications of the Term Structure
by Andrea Berardi & Marcello Esposito - 171-194 The Term Structure of Interest Differentials in a Target Zone with Time-varying Devaluation Risk
by Klaas Knot & Theo Dijkstra & Jakob de Haan - 195-221 The Credit Channel at Work: Lessons from the Financial Crisis in Korea
by Giovanni Ferri & Tae Soo Kang - 223-235 Anticipated Inflation, Liquidity Costs and the Tobin Effect
by Alberto Petrucci - 237-248 Lemmen, J. (1998) Integrating Financial Markets in the European Union
by Marco Mazzoli
February 1999, Volume 28, Issue 1
- 1-14 The Lender of Last Resort
by Marcello De Cecco - 15-23 Inflation Targeting and the Accountability of the European Central Bank
by Guido Tabellini - 25-41 Gaussian Estimation of a Two-factor Continuous Time Model of the Short-term Interest Rate
by A. R. Bergstrom & K. B. Nowman - 43-71 Deficits, Money Growth and Inflation in Italy: 1875–1994
by Carlo A. Favero & Franco Spinelli - 73-89 Stability of Risk Premia in the Italian Stock Market
by Giovanni Mazzariello & Antonio Roma - 91-118 Price Limits, Information Acquisition, and Bid–ask Spreads: Theory and Evidence
by V. Ravi Anshuman & Avanidhar Subrahmanyam
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