Content
June 2010, Volume 2, Issue 2
- 126-148 What macroeconomic shocks affect the German banking system?
by Sven Blank & Jonas Dovern - 149-162 Economic freedom and sovereign credit ratings and default risk
by Saurav Roychoudhury & Robert A. Lawson - 163-186 The political, regulatory, and market failures that caused the US financial crisis
by David G. Tarr
April 2010, Volume 2, Issue 1
- 5-34 The legal foundations of financial collapse
by Carolyn Sissoko - 35-59 How can economic and political liberalisation improve financial development in African countries?
by Michael Enowbi‐Batuo & Mlambo Kupukile - 60-79 Global growth, international trade patterns and national inflation policies with capital accumulation in a multi‐country economy
by Wei‐Bin Zhang - 80-87 The economic impact of a shift from hard to fuzzy contracts
by Glenna Sumner & Anita Williams
November 2009, Volume 1, Issue 4
- 286-318 Banking supervision and nonperforming loans: a cross‐country analysis
by Abdelkader Boudriga & Neila Boulila Taktak & Sana Jellouli - 319-337 The Fed and the ECB: why such an apparent difference in reactivity?
by Alexis Penot & Grégory Levieuge - 338-354 Optimal monetary policy under heterogeneity in currency trade
by Mikael Bask - 355-369 Inflation convergence in the euro area: just another gimmick?
by Aleš Bulíř & Jaromír Hurník
July 2009, Volume 1, Issue 3
- 206-226 Global imbalances and a trade‐finance‐nexus
by Andreas Kern & Christian Fahrholz - 227-245 Regulating noisy short‐selling of troubled firms?
by Carlos A. Ulibarri & Ionut Florescu & Joel M. Eidsath - 246-263 Inflation and Mexican economic growth: long‐run relation and threshold effects
by W. Adrián Risso & Edgar J. Sánchez Carrera - 264-275 Firms' capital structure and the bankruptcy law design
by Bruno Funchal & Mateus Clovis
May 2009, Volume 1, Issue 2
- 128-142 Systemic risk, coordination failures, and preparedness externalities
by David Hirshleifer & Siew Hong Teoh - 143-154 A theory of linkage between monetary policy and banking failure in developing countries
by Raulin L. Cadet - 155-176 Exchange rate assessments for Australia and New Zealand
by Hali Edison & Francis Vitek - 177-197 Short sales around M&A announcements
by Liuqing Mai & Robert van Ness & Bonnie van Ness
April 2009, Volume 1, Issue 1
- 4-43 Regulatory reform in the wake of the financial crisis of 2007‐2008
by Andrew W. Lo - 44-79 Effects of banks on “debt‐sensitive” small businesses
by Allen N. Berger & Philip Ostromogolsky - 80-106 A (partial) resolution of the Chinese discount puzzle
by G. Andrew Karolyi & Lianfa Li & Rose Liao - 107-123 Do markets “discipline” all banks equally?
by Joa˜o A.C. Santos