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Jul 23 2019 Meng-wai Lee and Kim-leng Goh
  Bond Market Development in Malaysia: Possible Crowding-Out from Persistent Fiscal Deficits?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 23 2019 Christophe Schalck
  Investigating shifts in public debt management behaviour in France
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 31 2019 Valdir Domeneghetti and Fabiano Guasti Lima
  Strategic direction re-evaluation of bank ratings in Brazil
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 31 2019 Pavel Jelnov
  What Remains After the Oil Boom Is Over?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 15 2019 Jeetendra Khadan and Amrita Deonarine
  Testing the Inter-temporal Budget Constraint for Small States
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 15 2019 Jean-Michel Sahut and Faten Ben Bouheni
  Profitability and Risk-Taking Among Cooperative Banks in the Eurozone
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Apr 27 2019 Román Ferrer , Syed Jawad Hussain Shahzad and Adrián Maizonada
  Nonlinear and extreme dependence between long-term sovereign bond yields and the stock market: A quantile-on-quantile analysis
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Apr 25 2019 Francesco Marchionne and Evelina Lazareva
  The limits to integration before and after the great financial crisis
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 16 2019 Jamal Bouoiyour and Refk Selmi
  Should Bitcoin be used to help devastated economies? Evidence from Greece
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jan 10 2019 Samir Amine and Wilner Predelus
  The Persistence of the 2008-2009 Recession and Insolvency Filings in Canada
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Dec 10 2018 Ben Shepherd
  International input-output linkages and exogenous shock transmission: a simple model
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 10 2018 Padmaja Mundakkad
  Firms' leverage and labour productivity: a quantile regression approach
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Oct 30 2018 Irem Zeyneloglu
  Currency crises and monetary policy: the role of foreign inputs
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Aug 05 2018 Marie Bouchard and Damien Rousselière
  Does Gibrat's law hold among urban social economy enterprises? A research note on Montreal social economy.
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 18 2018 Paolo Di Caro , Roberta Arbolino and Ugo Marani
  A note on the effects of human capital policies in Italy during the Great Recession
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Mar 23 2018 Oussama Ben Hmiden and Tanguy Meigné
  The impact of bank rating changes on lending in major European banks
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Mar 23 2018 Mohammad Q. M. Momani
  Revisiting the momentum factor in the U.K. stock market
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Feb 09 2018 Francesco Marchionne and Alberto Zazzaro
  Risk and competitiveness in the Italian banking sector
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jan 21 2018 Wahyoe Soedarmono
  Stock market integration in the Asia-Pacific region: Evidence from cointegration of liquidity risk
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Oct 26 2017 Trung Xuan Hoang and Quang Nhat Bui
  Sectoral Employment and Poverty in Rural Vietnam in 2000s
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 27 2017 Riadh El Abed
  On the Co-movements among East Asian Foreign Exchange Markets: A Multivariate FIAPARCH-DCC approach
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 27 2017 Jean-Michel Sahut and Frédéric Teulon
  What are the determinants of dividend policies? A new perspective in Emerging Markets
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jul 16 2017 Maxim Zagonov , Angela Kate Pettinicchio and Galla Salganik-Shoshan
  Audit quality, bank risks, and cross-country regulations.
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 16 2017 Yoshiko Suzuki
  Return of the Japan premium in the abenomics period
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 05 2017 Duc Hong Vo and Anh The Vo
  Currency evaluation using a big mac index for Thailand – lessons for Vietnam
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 05 2017 Ousayna Zreik and Wael Louhichi
  Risk Disclosure and Company Unsystematic, Systematic, and Total Risks
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jan 17 2017 Hela Ben hassine khalladi
  Financial crises management by the International Monetary Fund: Was external and public debt sustainable ?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Dec 21 2016 Boubacar Diallo
  Financial dependence and growth during crises: when does bank efficiency really matter?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Dec 10 2016 Rayenda Brahmana , Chin hong Puah and Michael Chai
  Natural Disaster and Local Bank Non-Performing Loan: Case of Nias Tsunami 2004
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Nov 26 2016 Dimitrios Dimitriou
  Greek debt negotiations and VIX currency indices: A HYGARCH approach
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Nov 09 2016 Cleomar Gomes da silva and Flavio V. Vieira
  Monetary policy decision making: the role of ideology, institutions and central bank independence
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Nov 09 2016 Yu Hsing
  Is Real Depreciation Contractionary? The Case of South Korea
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Oct 10 2016 Aurore Burietz and Loredana Ureche - Rangau
  A modern Dionysus' tale: new evidence on the Greek debt crisis and the related costs
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 29 2016 Rafael Hernandez Barros , Javier Vidal-Garcia , Marta Vidal and María Isabel Martínez Torre-Enciso
  New Evidence in the Definition of Strategy for Global Insurers
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 08 2016 Chee-keong Choong , Sok-gee Chan and Chuen-khee Pek
  The Effect of Board Composition on the Efficiency of Public Listed Companies in Malaysia
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 11 2016 Mirzosaid Sultonov
  Dynamic conditional correlation and causality relationship among foreign exchange, stock and commodity markets: Evidence from 2014 Russian financial crisis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 18 2016 Xing Lu and Neel Patel
  Festivity Anomaly in Indian Stock Market
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 29 2016 Andrew Phiri
  Did the global financial crisis alter equilibrium adjustment dynamics between the US federal fund fund rates and stock price volatility in the SSA region?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 14 2016 Torben Klarl
  The nexus between housing and GDP re-visited: A wavelet coherence view on housing and GDP for the U.S.
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 14 2016 Yoshiko Suzuki
  European banks' funding realignment during the European debt crisis: impact of counterparty risk and funding liquidity on FX swap pricing
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 14 2016 Nazmus Sadat Khan
  In search of causality between debt and growth: a graph theoretic approach
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Mar 17 2016 Riyad Abubaker
  Consumption and Money Uncertainty at the Zero Lower Bound
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Feb 04 2016 Maiko Koga
  Momentum trading behavior in the FX market: Evidence from Japanese retail investors
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 26 2015 Pauline Gandré
  Domestic creditors as last lenders in debt crises: a simple model with multiple equilibria
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 18 2015 Walid Chkili
  Gold–oil prices co-movements and portfolio diversification implications
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Nov 20 2015 Ismail O. Fasanya and Sulaimon Baruwa
  Remittances led growth in West Africa Monetary Zone (WAMZ)
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Nov 20 2015 Keisuke Otsu and Florian Gerth
  A neoclassical analysis of the Great Recession: a historical comparison
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Oct 02 2015 Franck Martin and Mai lan Nguyen
  Asymmetric dynamics in the correlations of hedge fund strategy indices: what lessons about financial contagion ?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 07 2015 José Perles , Ana Ramón and Antonio Rubia
  Economic crises and tourism competitiveness: A Markov swtiching regression approach.
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jul 24 2015 Omar Farooq and Imad Jabbouri
  Ownership structure and portfolio performance: Pre- and post-crisis evidence from the Casablanca Stock Exchange
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 09 2015 Alexander C. Jung
  Does liquidity matter for money demand in euro area countries?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 01 2015 Rachida Hennani and Michel Terraza
  Contributions of a noisy chaotic model to the stressed Value-at-Risk
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 14 2015 Luciano Fanti
  Growth, PAYG pension systems crisis and mandatory age of retirement
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 14 2015 Yuki Takahashi
  Did the TARP Expand or Contract Bank Lending? A Numerical Simulation Using a Financial Accelerator Model
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Mar 11 2015 Smruti Ranjan Behera
  International Capital Mobility and Saving-Investment Relationship in India
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Mar 11 2015 Yu Hsing
  Short-Run Determinants of the USD/MYR Exchange Rate
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Nov 05 2014 Juan carlos Cuestas and Barry Harrison
  Unemployment hysteresis in the EU15: Has anything changed?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Aug 06 2014 Chandan Sharma and Sunny K Singh
  Determinants of International Reserves: Empirical Evidence from Emerging Asia
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 20 2014 Franck Martin and Jiangxingyun Zhang
  Correlation and volatility on bond markets during the EMU crisis: does the OMT change the process ?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 18 2014 Vincent Fromentin and Christine Louargant
  Is the rating given to a European mutual fund a good indicator of its future performance?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 01 2014 Ramzi Benkraiem
  Small business investment sensitivity of debt before and during the global crisis
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
May 25 2014 Frederick Dongchuhl Oh
  Assessing competitive conditions in Korea's credit rating industry after the 1997 financial crisis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 23 2014 Fabio Bertoni , Anne-Laure Le Nadant and Frédéric Perdreau
  Innovation and R&D investments by leveraged buyout companies in times of crisis
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jan 20 2014 Makram El-shagi and Logan J Kelly
  Liquidity in the liquidity crisis: evidence from Divisia monetary aggregates in Germany and the European crisis countries
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Oct 08 2013 Scott W Hegerty
  Exchange Market Pressure, Output Drops, and Domestic Credit: Do Emerging Markets Behave Differently?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Aug 22 2013 Hamza Bennani
  Does the ECB consider the persistence of inflation differentials?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Aug 14 2013 Jose Fco. Perles-ribes and Ana Belén Ramón-rodríguez
  Economic cycles, asymmetric crises and tourism competitiveness: emerging versus mature destinations.
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jul 17 2013 Iuliana Matei
  Government bond market linkages within EMU: evidence from a multivariate Granger causality analysis
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 24 2013 Elie I Bouri
  Correlation and Volatility of the MENA Equity Markets in Turbulent Periods, and Portfolio Implications
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 10 2013 Leila Ali and Marie Lebreton
  The Fall of Bretton Woods: Which Geography Matters?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
May 21 2013 Semih Tumen
  The Impact of the 2008 Crisis on Top Labor Incomes in Turkey: A Nonparametric Analysis
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
May 18 2013 Michael R Frenkel and Jan C Rülke
  Is the ECB's monetary benchmark still alive?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 13 2013 Jean-yves Filbien , Fabien Labondance and Yann Echinard
  Macroeconomic, financial and institutional determinants of Eurozone sovereign crisis - Evidence from daily data
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Apr 18 2013 Marcelo Brutti Righi and Paulo Sergio Ceretta
  Pair Copula Construction based Expected Shortfall estimation
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 11 2013 Christophe Blot and Fabien Labondance
  Business lending rate pass-through in the Eurozone: monetary policy transmission before and after the financial crash
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Mar 27 2013 Simplice A Asongu
  A Short-run Schumpeterian Trip to Embryonic African Monetary Zones
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 18 2012 Gabriella Legrenzi and Costas Milas
  Long-Run Debt Sustainability and Threshold Adjustments: Non-Linear Empirical Evidence from the GIIPS
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Aug 14 2012 Walid Chkili
  Is currency risk priced for emerging stock markets?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Aug 01 2012 Takuji Kinkyo
  De facto exchange rate regimes in post-crisis Asia
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 12 2012 Adalgiso Amendola , Anna Maria Ferragina , Rosanna Pittiglio and Filippo Reganati
  Are exporters and multinational firms more resilient over a crisis? First evidence for manufacturing enterprises in Italy
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
May 07 2012 Turkhan Ali Abdul Manap and Gairuzazmi M Ghani
  Malaysia's Time Varying Capital Mobility
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 09 2012 Marcelo Brutti Righi and Paulo Sergio Ceretta
  Analysis of the Tail Dependence Structure in the Global Markets: A Pair Copula Construction Approach
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Mar 26 2012 Dimitrios P. Louzis , Spyros Xanthopoulos - Sissinis and Apostolos P. Refenes
  Stock index Value-at-Risk forecasting: A realized volatility extreme value theory approach
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jan 29 2012 Go Tamakoshi , Yuki Toyoshima and Shigeyuki Hamori
  A dynamic conditional correlation analysis of European stock markets from the perspective of the Greek sovereign debt crisis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jan 13 2012 Julien Chevallier
  Cointegration between carbon spot and futures prices: from linear to nonlinear modeling
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jan 13 2012 Julien Chevallier
  EUAs and CERs: Interactions in a Markov regime-switching environment
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jan 13 2012 Liqun Liu , Andrew J. Rettenmaier and Thomas R. Saving
  A rational choice theory of midlife crises
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jan 09 2012 Makram El-Shagi
  Protect and survive? Did capital controls help shield emerging markets from the crisis?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Dec 13 2011 Go Tamakoshi and Shigeyuki Hamori
  Transmission of stock prices amongst European countries before and during the Greek sovereign debt crisis
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Nov 28 2011 Renatas Kizys and Christian Pierdzioch
  Contagious speculative bubbles: A note on the Greek sovereign debt crisis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Nov 28 2011 Dean Fantazzini
  Forecasting the Global Financial Crisis in the Years 2009-2010: Ex-post Analysis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Oct 24 2011 Marcelo Brutti Righi and Paulo Sergio Ceretta
  Analyzing the structural behavior of volatility in the Major European Markets during the Greek crisis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Oct 12 2011 Vatthanamixay Chansomphou and Masaru Ichihashi
  The impact of trade openness on the incomes of four South East Asian countries before and after the Asian financial crisis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 09 2011 Loredana Ureche-Rangau , Fabien Collado and Ulysse Galiay
  The dynamics of the volatility – trading volume relationship: New evidence from developed and emerging markets
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 08 2011 Georg Stadtmann , Christian Pierdzioch and Jan Ruelke
  Scattered Fiscal Forecasts
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Aug 05 2011 Chor Foon Tang and Hooi Hooi Lean
  Revisit Feldstein-Horioka puzzle: evidence from Malaysia
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jul 28 2011 Loredana Ureche-Rangau and Franck Speeg
  A simple method for variance shift detection at unknown time points
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 27 2011 Go Tamakoshi
  European sovereign debt crisis and linkage of long-term government bond yields
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 13 2011 Marcelo Brutti Righi and Paulo Sérgio Ceretta
  Estimating value at risk and optimal hedge ratio in Latin markets: a copula-based GARCH approach
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 05 2011 Cleiton Taufemback , Ricardo Giglio and Sergio Da Silva
  Algorithmic complexity theory detects decreases in the relative efficiency of stock markets in the aftermath of the 2008 financial crisis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 05 2011 Virginie Coudert and Hélène Raymond-Feingold
  Gold and financial assets: Are there any safe havens in bear markets?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
May 12 2011 Nikolay Nenovsky , Amine Lahiani and Petar Chobanov
  Empirical Investigation of Systemic Risk in the New EU States
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 20 2011 George Milunovich
  Measuring the Impact of the GFC on European Equity Markets
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 15 2011 Walid Chkili and Duc Khuong Nguyen
  Modeling the volatility of Mediterranean stock markets: a regime-switching approach
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 06 2011 Rainer Niemann and Caren Sureth
  The Impact of Differential Capital Income Taxation on the Value of Risky Projects
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 02 2011 Fernanda G Barba and Paulo S Ceretta
  Risk transmission between Latin America stock markets and the US: impacts of the 2007/2008 Crisis
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 21 2011 Christos S Savva
  Modeling interbank relations during the international financial crisis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Feb 17 2011 Masanori Ohkuma and Teruo Mori
  Local finance-growth nexus: Does bank ownership matter?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Feb 14 2011 Emna Trabelsi
  Does asymmetric information play a role in explaining the Asian crisis? Application to Indonesian and Malaysian cases using a two-state Markov Switching model
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jan 19 2011 Christophe Schalck
  The European fiscal framework: What lessons can we learn from the crisis?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 08 2010 Siow-Hooi Tan and Mohammad Tariqul Islam Khan
  Long Memory Features in Return and Volatility of the Malaysian Stock Market
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Nov 08 2010 Prakash Singh and Manoj Kumar Pandey
  Financial Innovation and Stability of Money Demand Function in Post–reform period in India
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Oct 31 2010 Shin Fukuda
  Evaluating the influence of the internal ratings-based approach on bank lending in Japan
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Oct 09 2010 Haifeng Xu and Shigeyuki Hamori
  Dynamic linkages of stock prices among G7 countries: effects of the American financial crisis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 08 2010 Pisey Khin and Ryuta Ray Kato
  The Impact of the Global Economic Crisis on Cambodia
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Aug 26 2010 Scott W Hegerty
  Exchange-market pressure and currency crises in Latin America: Empirical tests of their macroeconomic determinants
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Aug 21 2010 Taro Ikeda
  Asymmetric Preferences for Monetary Policy Rules in the Visegrad Four and the Financial Crisis
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jul 22 2010 Thi Hong Hanh Pham
  Effects of the 2008 Financial Crisis on developing Asia's Economic Growth
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jul 19 2010 Iuliana Matei
  Contagion and causality: an empirical analysis on sovereign bond spreads
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jul 16 2010 Dean Fantazzini
  Modelling and forecasting the global financial crisis: Initial findings using heterosckedastic log-periodic models
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
May 27 2010 Julien Chevallier
  A Note on Cointegrating and Vector Autoregressive Relationships between CO2 allowances spot and futures prices
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 21 2010 Arouri Mohamed El Hédi and Jawadi Fredj
  On the Impacts of Crisis on the Risk Premium: Evidence from the US Stock Market using a Conditional CAPM
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Mar 08 2010 Ben m'barek Hassene Jr and Ben romdhane Hager Jr
  Financial Crises and Banking Deregulation: the Case of Tunisia
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 28 2009 Akihiro Kubo
  Monetary targeting and inflation: Evidence from Indonesia's post-crisis experience
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 06 2009 Carlos Bautista , Philippe Rous and Amine Tarazi
  The determinants of bank stock return's co-movements in East Asia
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 08 2009 Scott W Hegerty
  Capital flows to transition economies: what is the role of external shocks?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 23 2009 Hock-Ann Lee , Kian-Ping Lim and Venus Khim-Sen Liew
  Is There Any International Diversification Benefits in ASEAN Stock Markets?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Feb 24 2009 Meixing Dai
  Public debt and currency crisis: how central bank opacity can make things bad?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 19 2008 khalid kisswani
  Did the Great Depression affect Educational Attainment in the US?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Nov 16 2008 Guglielmo Maria Caporale , Nikolaos Philippas and Fotini Economou
  Herding behaviour in extreme market conditions: the case of the Athens Stock Exchange
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Oct 05 2008 Surender Kumar
  Energy Prices and Induced Technological Progress
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 17 2008 Stephen Pilgrim and Sunday Iyare
  Foreign direct investment (FDI) and the global food crisis. A study of the Windward Islands' agricultural sector.
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 07 2008 Elif Akben , Gökhan Özertan , Aslýhan D. Spaulding and Sayed H. Saghaian
  Consumer responses to the H5N1 Avian Influenza: the case of Turkey
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 21 2008 Elif Akben , Gökhan Özertan and Aslýhan D. Spaulding
  Are the Asian Equity Markets more Interdependent after the Financial Crisis?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Feb 21 2007 Vincent Bouvatier
  Are International Interest Rate Differentials Driven by the Risk Premium? The Case of Asian Countries
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Feb 21 2007 Kim-Leng Goh and Sook-Lu Yong
  Bank lending and monetary policy: the effects of structural shift in interest rates
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jan 18 2007 Sergio Da Silva , Annibal Figueiredo , Iram Gleria and Raul Matsushita
  Hurst exponents, power laws, and efficiency in the Brazilian foreign exchange market
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jan 10 2007 Terence Tai-Leung Chong , Guoxin Liu and Isabel Kit-Ming Yan
  Habit Formation: Deep and Uncertain
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Dec 28 2006 Leonardo Gasparini
  Assessing benefit-incidence results using decompositions. The case of health policy in Argentina.
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Oct 10 2006 Alessandro Rebucci and Marco Rossi
  Measuring Disinflation Credibility in Emerging Markets: A Bayesian Approach with an Application to Turkey's IMF-Supported Program
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 27 2005 Sergio Da Silva , Guilherme Moura and Roberto Meurer
  Travel hysteresis in the Brazilian current account
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Aug 03 2005 Mauro Costantini and Claudio Lupi
  Stochastic convergence among European economies
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Oct 15 2004 Victor Vaugirard
  Bank runs, political distortions and contagion
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Nov 20 2003 Francois HERMET
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