Content
2022
- 17-2022 Real-Time Pricing and the Cost of Clean Power
by Imelda Imelda & Matthias Fripp & Michael J. Roberts - 16-2022 Interest Rate Caps in an Economy with Formal and Informal Credit Markets
by Jorge Pozo - 15-2022 Sovereign Spreads and Corporate Taxation
by Hayley Pallan - 14-2022 Do Investors Care About Consumption Taxes? Evidence from Equities in Advanced and Emerging Economies
by Hayley Pallan - 13-2022 The Colonial Legacy of Education: Evidence from of Tunisia
by Mhamed Ben Salah & Cedric Chambru & Maleke Fourati - 12-2022 A Touch of Violence - Welfare Outcomes under Bride Exchange and Child Brides
by Maria Kamran - 11-2022 Clean Energy Access: Gender Disparity, Health, and Labour Supply
by Anjali P. Verma & Imelda Imelda - 10-2022 A Counterfactual Analysis of the Effects of Climate Change on the Natural Interest Rate
by Jair Ojeda-Joya - 09-2022 Enough Potential Repudiation: Economic and Legal Aspects of Sovereign Debt in the Pandemic Era
by Anna Gelpern & Ugo Panizza - 08-2022 Nowcasting Bosnia and Herzegovina GDP in Real Time
by Antonio Musa - 07-2022 Long-Term Debt Sustainability in Emerging Market Economies: A Counterfactual Analysis
by Ugo Panizza - 06-2022 Do Countries Default in Bad Times? The Role of Alternative Detrending Techniques
by Ugo Panizza - 05-2022 Immigration Quotas and Anti-Immigration Attitudes: An Evaluation of Swiss Migration Policy
by Qingyang Lin - 04-2022 Import Shock and Local Labour Market Outcomes: A Sino-Indian Case Study
by Feiyang Shi - 03-2022 Electrifying Nigeria: the Impact of Rural Access to Electricity on Kids' Schooling
by Enrico Nano - 02-2022 Nowcasting real GDP in Tunisia using large datasets and mixed-frequency models
by Hagher Ben Rhomdhane & Brahim Mehdi Benlallouna - 01-2022 Liquidity Risk and Interdependence in Payment Systems: The Case of Peru
by Jushua Baldoceda & Anthony Meza
2021
- 18-2021 On the Benefits of Repaying
by Francesca Caselli & Matilde Faralli & Paolo Manasse & Ugo Panizza - 17-2021 Carbon Taxation and Greenflation: Evidence from Europe and Canada
by Maximilian Konradt & Beatrice Weder di Mauro - 16-2021 The Odious Haitian Independence Debt
by Kim Oosterlinck & Ugo Panizza & W. Mark C. Weidemaier & Mitu Gulati - 15-2021 The Seen and the Unseen: Impact of a Conditional Cash Transfer Program on Prenatal Sex Selection
by Sayli Javadekar & Kritika Saxena - 14-2021 Unconventional Credit Policy in an Economy under Zero Lower Bound
by Jorge Pozo & Youel Rojas - 13-2021 Role of the Media in the Inflation Expectation Formation Process
by Tetiana Yukhymenko - 12-2021 Fundamentals vs. policies: can the US dollar's dominance in global trade be dented?
by Georgios Georgiadis & Helena Le Mezo & Arnaud Mehl & Cedric Tille - 11-2021 Nowcasting in Tunisia using large datasets and mixed frequency models
by Hager Ben Romdhane - 10-2021 The Growth-at-Risk (GaR) Framework: Implication For Ukraine
by Anastasiya Ivanova & Alona Shmygel & Ihor Lubchuk - 09-2021 State-Owned Commercial Banks
by Ugo Panizza - 08-2021 A Generation of Italian Economists
by Enrico Nano & Ugo Panizza & Martina Viarengo - 07-2021 Evaluating Growth-at-Risk as a tool for monitoring macro-financial risks in the Peruvian economy
by Diego Chicana & Rafael Nivin - 06-2021 Empirical estimation of REER trend for Ukraine
by Artem Vdovychenko - 05-2021 A BVAR Model for Forecasting Ukrainian Inflation
by Nadiia Shapovalenko - 04-2021 The misalignment of real effective exchange rate: Evidence from Tunisia
by Ahmed Derbali - 03-2021 The relationship between non-performing loans, banking system stability and economic activity: The case of Tunisia
by Dorsaf Elbir Merhbene - 02-2021 Does Intangible Asset Intensity Increase Profit-Shifting Opportunities of Multinationals?
by Roberto Crotti - 01-2021 Update to Figure 1 in "Macroeconomic Shocks and their Propagation"
by Edoardo Chiarotti
2020
- 18-2020 Non-US global banks and dollar (co-)dependence: how housing markets became internationally synchronized
by Torsten Ehlers & Mathias Hoffmann & Alexander Raabe - 17-2020 Fiscal Risk and its Drivers An Empirical Analysis
by Ugo Panizza - 16-2020 Legal Air Cover
by Patrick Bolton & Mitu Gulati & Ugo Panizza - 15-2020 A New Financial Stress Index for Ukraine
by Vladyslav Filatov - 14-2020 Uncovered interest parity with foreign exchange interventions under exchange rate peg and inflation targeting: The case of Ukraine
by Anton Grui - 13-2020 Credit-to-GDP gap: Local versus foreign currency credit
by Gjergj Legisi - 12-2020 The impact of real economic activity on the effectiveness of monetary policy transmission: The case of Tunisia
by Ons Mastour - 11-2020 Do Sticky Wages Matter? New Evidence from Matched Firm-Survey and Register Data
by Anne Kathrin Funk & Daniel Kaufmann - 10-2020 The Political Competition over Life and Death - Evidence from Infant Mortality in India
by Anders Kjelsrud & Kalle Moene & Lore Vandewalle - 09-2020 Local Currency Denominated Sovereign Loans - A Portfolio Approach to Tackle Moral Hazard and Provide Insurance
by Ugo Panizza & Filippo Taddei - 08-2020 MAKE-WHOLES IN SOVEREIGN BONDS (not sure why they are there, but they may be free)
by Mitu Gulati & Ugo Panizza - 07-2020 Forecasting inflation in Bosnia and Herzegovina
by Elma Hasanovic - 06-2020 An estimated DSGE model with financial accelerator: the case of Tunisia
by Hager Ben Romdhane - 05-2020 Does Leverage Predict Delinquency in Consumer Lending? Evidence from Peru
by Walter Cuba - 04-2020 A fistful of dollars: Transmission of global funding shocks to EMs
by Shekhar Hari Kumar & Aakriti Mathur - 03-2020 Zombie International Currency: The Pound Sterling 1945-1973
by Maylis Avaro - 02-2020 Alternative Solutions to the Odious Debt Problem
by Mitu Gulati & Ugo Panizza - 01-2020 Modeling Azerbaijan’s Inflation and Output Using a Factor-Augmented Vector Autoregressive (FAVAR) Model
by Vugar Rahimov & Nijat Guliyev & Vugar Ahmadov
2019
- 19-2019 Uncertainty as a Predictor of Economic Activity
by Martina Hengge - 18-2019 Euro Area Sovereign Debt: Restructuring Options
by Theresa Arnold & Mitu Gulati & Ugo Panizza - 17-2019 Spillover Effects of Foreign Monetary Policy on the Foreign Indebtedness of Banks and Corporations
by Paola Morales-Acevedo - 16-2019 Forecasting the Albanian short-term inflation through a Bayesian VAR model
by Meri Papavangjeli - 15-2019 Le «fardeau» de la dette publique suisse : Eclairages des recherches scientifiques et pistes pour le futur
by Cédric Tille - 14-2019 The «burden» of Swiss public debt: Lessons from research and options for the future
by Cédric Tille - 13-2019 A Macro-Model to Monetary Transmission Analysis in Tunisia
by Aymen Makni - 12-2019 Assessment of interest rate and credit transmission channels in a context of banking heterogeneity
by Sinda Morsi Fattoum - 11-2019 Merchant's Card Acceptance: An extension of the Tourist Test for Developing Countries
by Jose Aurazo & Jose Vasquez - 10-2019 Tracking Foreign Capital: The Effect of Capital Inflows on Bank Lending in the UK
by Alexander Raabe & Christiane Kneer - 09-2019 Access to Banking, Savings and Consumption Smoothing in Rural India
by Vincent Somville & Lore Vandewalle - 08-2019 Analysing monetary policy statements of the Reserve Bank of India
by Aakriti Mathur & Rajeswari Sengupta - 07-2019 When Governments Promise to Prioritize Public Debt: Do Markets Care?
by Mitu Gulati & Ugo Panizza & W. Mark C. Weidemaier & Gracie Willingham - 06-2019 Smart Development Banks
by Eduardo Fernández-Arias & Ricardo Hausmann & Ugo Panizza - 05-2019 Distance(s) and the Volatility of International Trade(s)
by Arnaud Mehl & Martin Schmitz & Cédric Tille - 04-2019 Firm Decisions under Jump-Diffusive Dynamics
by Neha Deopa & Daniele Rinaldo - 03-2019 Hit them in the Wallet! An Analysis of the Indian Demonetization as a Counter-Insurgency Policy
by Edoardo Chiarotti & Nathalie Monnet - 02-2019 Quantitative easing in the euro area and SMEs' access to finance: Who benefits the most?
by Anne Kathrin Funk - 01-2019 The Impact of Exogenous Liquidity Shocks on Banks Funding Costs: Microevidence from the Unsecured Interbank Market
by Miguel Sarmiento
2018
- 13-2018 Volatility Spillovers and the Global Financial Cycle Across Economies: Evidence from a Global Semi-Structural Model
by Javier G. Gómez-Pineda - 12-2018 Maduro Bonds
by Mitu Gulati & Ugo Panizza - 11-2018 Trade Linkages and Firm Value: Evidence from the 2018 US-China “Trade War”
by Yi Huang & Chen Lin & Sibo Liu & Heiwai Tang - 10-2018 The Bank Lending Channel A Time-Varying Approach
by Richard Varghese - 09-2018 Foreign Currency Bank Funding and Global Factors
by Signe Krogstrup & Cédric Tille - 08-2018 Does Public Debt Crowd Out Corporate Investment? International Evidence
by Yi Huang & Ugo Panizza & Richard Varghese - 07-2018 Trade with Benefits: New Insights on Competition and Innovation
by JaeBin Ahn & Hyoungmin Han & Yi Huang - 06-2018 Corporate foreign bond issuance and interfirm loans in China
by Yi Huang & Ugo Panizza & Richard Portes - 05-2018 Standards of proofs in sequential merger control procedures
by Gregor Langus & Vilen Lipatovz & Damien Neven - 04-2018 Things have changed (or Have they?) Tariff protection and environmental concerns in the WTO
by Petros C. Mavroidis & Damien Neven - 03-2018 Investment Gaps in IDB Borrowing Countries
by Francesca Castellani & Marcelo Olarreaga & Ugo Panizza & Yue Zhou - 02-2018 The Hausmann-Gorky Effect
by Mitu Gulati & Ugo Panizza - 01-2018 Structural Budget Balances in Oil-Rich Countries: The Cases of Azerbaijan, Kazakhstan, and Russia
by Vugar Ahmadov & Ulvi Sarkarli & Ramiz Rahmanov
2017
- 23-2017 Fiscal Multipliers for Bosnia and Herzegovina
by Dragana Stanišic & Belma Hadžihalilovic-Kasumovic - 22-2017 Are fiscal rules helpful in mitigating the impact of oil market fluctuations?
by Fuad Mammadov & Adigozalov Shaig - 21-2017 Acquirers and Financial Constraints: Theory and Evidence from Emerging Markets
by Rahul Mukherjee & Christian Proebsting - 20-2017 Fiscal Shocks and International Production Networks: An Empirical Investigation
by Isai Quispe - 19-2017 A Note on the Economics of Philanthropy
by Nathalie Monnet & Ugo Panizza - 18-2017 Identities and Public Policies: Unintended Effects of Political Reservations for Women in India
by Guilhem Cassan & Lore Vandewalle - 17-2017 The Cyclicality of International Public Sector Borrowing in Developing Countries: Does the Lender Matter?
by Arturo J. Galindo & Ugo Panizza - 16-2017 Exchange rate elasticity of exports and the role of institutions
by Aygun Garayeva & Gulzar Tahirova - 15-2017 Conditional FAVAR and scenario analysis for a large data: case of Tunisia
by Hajer Ben Romdhane & Nahed Ben Tanfous - 14-2017 The Changing International linkages of Switzerland: An Overview
by Cédric Tille - 13-2017 Factor Models for Non-Stationary Series: Estimates of Monthly U.S. GDP
by Martina Hengge & Seton Leonard - 12-2017 Non-linearities in the Relationship between Finance and Growth
by Ugo Panizza - 11-2017 The Determinants of Excess Liquidity in the Banking Sector of Bosnia and Herzegovina
by Elma Hasanovic & Tanja Latic - 10-2017 The Effect of Corporate Taxes on Investment: Evidence from the Colombian Firms
by Ligia Alba Melo-Becerra & Javier Ávila Mahecha & Jorge Enrique Ramos-Forero - 09-2017 Aggregate Uncertainty and Sectoral Productivity Growth: The Role of Credit Constraints
by Sangyup Choi & Davide Furceri & Yi Huang & Prakash Loungani - 08-2017 The Size of Fiscal Multipliers and the Stance of Monetary Policy in Developing Economies
by Jair N. Ojeda-Joya & Oscar E. Guzman - 07-2017 Forecasting Inflation in a Macroeconomic Framework: An Application to Tunisia
by Souhaïb Chamseddine Zardi - 06-2017 The Exchange Rate Pass-Through to CPI and its components in Oil-Exporting CIS Countries
by Vugar Rahimov & Nigar Jafarova & Fuad Ganbarov - 05-2017 Forecasting Inflation in Vietnam with Univariate and Vector Autoregressive Models
by Tran Thanh Hoa - 04-2017 Debt and productivity: Evidence from rm-level data
by Roger M. Gomis & Sameer Khatiwada - 03-2017 Firm dynamics and business cycle: What doesn't kill you makes you stronger?
by Roger M. Gomis & Sameer Khatiwada - 02-2017 Quantitative Easing by the Fed and International Capital Flows
by Sameer Khatiwada - 01-2017 The Consumption Response to Minimum Wages: Evidence from Chinese Households
by Ernest Dautovic & Harald Hau & Yi Huang
2016
- 18-2016 Trade Liberalization and the Great Labor Reallocation
by Yuan Zi - 17-2016 Exogenous Macroeconomic Shocks and their Propagation in Bosnia And Herzegovina
by Bojan Baskot - 16-2016 The Role of Exchange Rate in Supporting Trade Balance in Vietnam
by Lan Huong Hoang - 15-2016 Mortgage Credit: Lending and Borrowing Constraints in a DSGE Framework
by Elmer Sánchez León - 13-2016 Nonlinear Pass-Through of Exchange Rate Shocks on Inflation: A Bayesian Smooth Transition VAR Approach
by Hernán Rincón & Norberto Rodríguez - 12-2016 Impact of Corporate Governance on Peruvian Banks' Financial Strength
by Derry Quintana Aguilar - 11-2016 Witch Trials: Discontent in Early Modern Europe
by Chris Hudson - 10-2016 Public Debt and Private Firm Funding: Evidence from Chinese Cities
by Yi Huang & Marco Pagano & Ugo Panizza - 09-2016 Saving China's Stock Market
by Yi Huang & Jianjun Miao & Pengfei Wang - 08-2016 Firm Response to Competitive Shocks: Evidence from China’s Minimum Wage Policy
by Harald Hau & Yi Huang & Gewei Wang - 07-2016 Can Countries Rely on Foreign Saving for Investment and Economic Development?
by Eduardo Cavallo & Barry Eichengreen & Ugo Panizza - 06-2016 Trade Re(Im)Balanced: The Role of Regional Trade Agreements
by Maria V. Sokolova - 05-2016 Exchange Rates, International Trade and Growth: Re-Evaluation of Undervaluation
by Maria V. Sokolova - 04-2016 Global Population Growth, Technology and Malthusian Constraints: A Quantitative Growth Theoretic Perspective
by Bruno Lanz & Simon Dietz & Tim Swanson - 03-2016 Better More Than One: Portfolio Currency Pricing and Exchange Rate Hedging
by Maria V. Sokolova - 01-2016 Oil Price Pass-Through into Inflation: The Evidence from Oil Exporting Countries
by Tural Karimli & Nigar Jafarova & Heyran Aliyeva & Salman Huseynov
2015
- 23-2015 Institutional Quality, Cyclicality of Macroeconomic Policies and the Effects of Macroeconomic Shocks: Evidence from Transition Economies
by Shaig Adigozalov & Vugar Rahimov - 22-2015 Current Account Determinants in Central Eastern European Countries
by Jonida Bollano - 21-2015 The second wave of global liquidity: Why are firms acting like financial intermediaries?
by Julian Caballero & Ugo Panizza & Andrew Powell - 20-2015 Survival of the Fittest: Corporate Control and the Cleansing Effect of Financial Crises
by Rahul Mukherjee & Christian Proebsting - HEIDWP19-2015 Riot Rewards? Study of BJP's Electoral Performance and Hindu Muslim Riots
by Rohit Ticku - 18-2015 Billions on the Sidewalk: Improving Savings by Reducing Investment Mistakes
by Ugo Panizza - 17-2015 On the roles of different foreign currencies in European bank lending
by Signe Krogstrup & Cedric Tille - 16-2015 Characteristics of the Tunisian Business Cycle and its International Synchronization
by Mehdi Bhoury & Mohamed Slim Mouha - 15-2015 The Transmission Mechanism of Monetary Policy in Vietnam: A VAR Approach
by Bui Van Hai & Tran Thi Minh Trang - 14-2015 Is the Monetary Policy Rate Effective? Recent Evidence from Ghana
by Nana Kwame Akosah - 13-2015 Modelling and Forecasting of Tunisian Current Account: Aggregate versus Disaggregate Approach
by Kamel Jlassi - 12-2015 Too Much Finance or Statistical Illusion: A Comment
by Enrico Berkes & Ugo Panizza & Jean Louis Arcand - 11-2015 The Macroeconomic Pass-through Effects of Monetary Policy through Sign Restrictions Approach: In the Case of Albania
by Gerti Shijaku - 10-2015 Empirical Evidence for the Bank Lending Channel in Bosnia and Herzegovina: Does Lending Differ Between Large and Small Banks?
by Dejan Kovacevic - 09-2015 Assessing the House Price Dynamics in Lima
by Diego Vílchez - 08-2015 Financial Soundness Index for the Private Corporate Sector in Colombia
by Juan S. Lemus-Esquivel & Carlos A. Quicazán-Morenoy & Jorge L. Hurtado-Guarínz & Angélica Lizarazo-Cuéllarx - 07-2015 Estimating the Determinants of Financial Euroization in Albania
by Olta Manjani - 06-2015 Macro-prudential Policies, Moral Hazard and Financial Fragility
by Carlos Arango & Oscar Valencia - 04-2015 Pricing-to-market, Trade Policy, and Market Power
by Nicolas Berman & Alan Asprilla & Olivier Cadot & Mélise Jaud - 03-2015 Demand learning and firm dynamics: evidence from exporters
by Nicolas Berman & Vincent Rebeyrol & Vincent Vicard - 02-2015 Global Value Chains: Benefiting the Domestic Economy?
by Victor Kummritz - 01-2015 Saving by Default: Evidence from a Field Experiment in Rural India
by Lore Vandewalle & Vincent Somville
2014
- 17-2014 Liquidity-Driven FDI
by Rahul Mukherjee & Linda L. Tesar & Ron Alquist - 15-2014 European champions and competition enforcement:Is DG COMP in ideological denial?
by Damien Neven & Vilen Lipatov & Gregor Langus - 14-2014 Sequential decision making in merger control
by Damien Neven & Vilen Lipatov & Gregor Langus - 13-2014 Public Debt Risks in Italy Myths, Facts, and Policies
by Ugo Panizza - 11-2014 The Separation of Information and Lending and the Rise of Rating Agencies in the United States
by Marc Flandreau & Gabriel Geisler Mesevage - 10-2014 The Crisis of 1866
by Marc Flandreau & Stefano Ugolini - 09-2014 International Migration of Skilled Workers with Endogenous Policies
by Slobodan Djajić & Michael S. Michael - 08-2014 Minimum Wage and Firm Employment: Evidence from China
by Yi Huang & Prakash Loungani & Gewei Wang & Prakash Loungani & Gewei Wang - 07-2014 Asylum Seeking and Irregular Migration
by Slobodan Djajic - 06-2014 Do Real Exchange Rate Appreciations Matter for Growth?
by Matthieu Bussière & Claude Lopez & Cédric Tille - 05-2015 Banking Integration and Fragmentation in the Interest Rate Channel
by filippo gori - 05-2014 Estimating the Output Gap to Support the Management of Interest Rates in Vietnam
by Giang Huong Nguyen - 04-2014 Loan quality determinants: evaluating the contribution of bank-specific variables, macroeconomic factors and firm level information
by Faiçal Belaid - 03-2014 Business Cycles in Oil Exporting Countries: A Declining Role for Oil?
by Salman Huseynov & Vugar Ahmadov - 02-2014 Social Spending and Household Welfare: Evidence from Azerbaijan
by Ramiz Rahmanov - 01-2014 Merger control procedures and institutions: A comparison of the EU and US practice
by William E. Kovacic & Petros C. Mavroidis & Damien J. Neven
2013
- 15-2013 Guest Workers in the Underground Economy
by Slobodan Djajić & Alice Mesnard - 13-2013 Guest Workers: Adequate Incentives for Voluntary Return
by Slobodan Djajić & Alexandra Vinogradova & Alexandra Vinogradova - 13-2013 Guest Workers: Financial Development and Economic Growth: Known Knowns, Known Unknowns, and Unknown Unknowns
by Ugo Panizza - 12-2014 Monetary Policy and Real Cost Imbalances in Currency Unions
by Filippo Gori - 12-2013 Debt Levels, Debt Composition, and Sovereign Spreads in Emerging and Advanced Economies
by Salvatore Dell’Erba & Ricardo Hausmann & Ugo Panizza - 11-2013 Understanding Rating Addiction: US Courts and the Origins of Rating Agencies’ Regulatory License (1900-1940)
by Marc Flandreau & Joanna Kinga Sławatyniec - 10-2013 Institutions, Corporate Governance and Capital Flows
by Rahul Mukherjee - 08-2013 Trade Effects of Export Taxes
by Olga Solleder - 08-2013 A Bargaining Theory of Trade Invoicing and Pricing
by Linda Goldberg & Cedric Tille - 07-2013 Panel Export Taxes (PET) Dataset: New Data on Export Tax Rates
by Olga Solleder - 06-2013 Temporary and Persistent Fiscal Policy Shocks
by Sergio Sola - 05-2013 Fiscal Policy, Interest Rates and Risk Premia in Open Economy
by Salvatore Dell'Erba & Sergio Sola - 04-2013 Standard Essential Patents: who is really holding up (and when)?
by Vilen Lipatov & Gregor Langus & Damien Neven - 03-2013 Do We Need a Mechanism for Solving Sovereign Debt Crises? A Rule-Based Discussion
by Ugo Panizza - 02-2013 Finance and Economic Development in a Model with Credit Rationing
by Jean-Louis Arcand & Enrico Berkes & Ugo Panizza - 01-2013 Collective Action Clauses before they had Airplanes: Bondholder Committees and the London Stock Exchange in the 19th Century (1827-1868)
by Marc Flandreau
2012
- 16-2012 In this paper, I use a stratified Cox Proportional Hazard Model to econometrically evaluate the effects of intra-Africa regional trade cooperation and other underlying factors on Africa`s export survival. Using a highly disaggregated dataset of bilateral trade flows at HS 6 digit level for 49 African countries for the period 1995 to 2009, I obtain 3 key main empirical results. First, intra-Africa regional trade cooperation do increase the likelihood of Africa`s export survival. The results show that the depth of regional integration matters on lowering Africa`s export hazard rates relative to countries that are not in any regional cooperation. Second, I find evidence that supports the “learning by export hypothesis”. That is export experience within regional as well as rest of the world markets increases the likelihood of Africa`s export survival. Finally, results suggests that infrastructure related trade frictions such as costs to export, time to export, and customs procedures to export as well as weak export supporting institutions have a negative effect on Africa`s export survival. Similarly macroeconomic developments particularly exchange rate volatility, financial underdevelopment, “inappropriate” foreign direct investment hurt chances of an African export survival. The results also show that interaction effects between regional integration initiatives and a variety of these trade frictions namely: costs to export, time to export and customs procedures effects on hazard rates diminish in significance with the depth of regional integration over time
by Dick Nuwamanya Kamuganga - 15-2012 The Linkage between Outcome Differences in Cotton Production and Rural Roads Improvements - A Matching Approach
by Dick Nuwamanya Kamuganga - 14-2012 Countercyclical Capital Regulation and Bank Ownership Structure
by Tommaso Trani - 13-2012 External shocks, internal shots - the geography of civil conflicts
by Nicolas Berman & Mathieu Couttenier - 12-2014 The risk of self-protection: the role of bank bailout guarantees in channelling sovereign credit risk internationally
by filippo gori - 12-2012 The Linkage between Outcome Differences in Cotton Production and Rural Roads Improvements - A Matching Approach
by Christian K.M. Kingombe - 11-2012 International Capital Flows and Development - Financial Openness Matters
by Dennis Reinhardt & Luca Antonio Ricci & Thierry Tressel - 10-2012 Regional Analysis of Eastern Province Feeder Road Project - District level estimation of the Poverty Alleviation Effects of Rural Roads Improvements in Zambia’s Eastern Province
by Christian K.M. Kingombe - 09-2012 The Price of Media Capture and the Looting of Newspapers in Interwar France
by Vincent Bignon & Marc Flandreau - 08-2012 The Effect of Host Society Culture on Migrant Wage Discrimination: Approaching the Roestigraben
by Pierre Kohler - 08-2012 The Effect of Host Society Culture on Migrant Wage Discrimination: Approaching the Roestigraben
by Pierre Kohler - 07-2012 Economic Discrimination and Cultural Differences as Barriers to Migrant Integration: Is Reverse Causality Symmetric?
by Pierre Kohler - 07-2012 Economic Discrimination and Cultural Differences as Barriers to Migrant Integration: Is Reverse Causality Symmetric?
by Pierre Kohler - 06-2012 Education, Gender, Religion, Politics: What Priorities for Cultural Integration Policies in Switzerland?
by Pierre Kohler - 06-2012 Education, Gender, Religion, Politics: What Priorities for Cultural Integration Policies in Switzerland?
by Pierre Kohler - 05-2012 Down with diarrhea: Using fuzzy Regression Discontinuity Design to link communal water supply with health
by Zacharias Ziegelhöfer - 04-2012 The Impact of a Feeder Road Project on Cash Crop Production in Zambia’s Eastern Province between 1997 and 2002, Labour Market and Fiscal Policy
by Christian K.M. Kingombe & Salvatore di Falco - 03-2012 Labour Market and Fiscal Policy
by Slim Bridji & Matthieu Charpe - 02-2012 Country Portfolios with Heterogeneous Pledgeability
by Tommaso Trani
2011
- 15-2011 The Changing Role of Global Financial Brands in the Underwriting of Foreign Government Debt (1815-2010)
by Marc Flandreau & Juan Flores & Norbert Gaillard & Sebastian Nieto-Parra - 14-2011 Export dynamics and sales at home
by Nicolas Berman & Antoine Berthou & Jérôme Héricourt