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                             33 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Are global spillovers complementary or competitive? Need for international policy coordination Bhattarai, Keshab

110 C p.
artikel
2 Assessing cross-border interconnectedness between shadow banking systems Fong, Tom Pak Wing

110 C p.
artikel
3 Assessing the cyclical behaviour of bank capital buffers in a finance-augmented macro-economy Montagnoli, Alberto

110 C p.
artikel
4 Attractive and non-attractive currencies Dupuy, Philippe

110 C p.
artikel
5 Can risk explain the profitability of technical trading in currency markets? Ivanova, Yuliya

110 C p.
artikel
6 Centralised or decentralised banking supervision? Evidence from European banks Avignone, Giuseppe

110 C p.
artikel
7 Comment on “Monetary policy news in the U.S.: Effects on emerging market capital flows” Hale, Galina

110 C p.
artikel
8 Comparing the impact of discretionary and pre-announced central bank interventions Luna Santos, Francisco

110 C p.
artikel
9 Current account drivers and exchange rate regimes in Central and Eastern Europe Harkmann, Kersti

110 C p.
artikel
10 Discussion of “monetary policy uncertainty and monetary policy surprises” Swanson, Eric T.

110 C p.
artikel
11 Does cash-flow news play a better role than discount-rate news? Evidence from global regional stock markets Wu, Ming

110 C p.
artikel
12 Editorial Board
110 C p.
artikel
13 Effects of the degree of financial constraint and excessive indebtedness on firms’ investment decisions Fernández de Guevara, Juan

110 C p.
artikel
14 Financial stress and the probability of sovereign default Rho, Caterina

110 C p.
artikel
15 Foreign-currency exposures and the financial channel of exchange rates: Eroding monetary policy autonomy in small open economies? Georgiadis, Georgios

110 C p.
artikel
16 Herding by corporates in the US and the Eurozone through different market conditions Duygun, Meryem

110 C p.
artikel
17 Housing prices and trade surpluses in China: An inter-temporal approach Chen, Qiuyu

110 C p.
artikel
18 Identifying external debt shocks in low- and middle-income countries Sheng, Xuguang Simon

110 C p.
artikel
19 Interconnectedness in the global financial market Raddant, Matthias

110 C p.
artikel
20 Is China fudging its GDP figures? Evidence from trading partner data Fernald, John G.

110 C p.
artikel
21 Monetary policy uncertainty in China Chen, Hongyi

110 C p.
artikel
22 Recalibration of capital controls: Evidence from the IMF taxonomy Binici, Mahir

110 C p.
artikel
23 Switching volatility in a nonlinear open economy Benchimol, Jonathan

110 C p.
artikel
24 The cost of banking crises: Does the policy framework matter? Levieuge, Grégory

110 C p.
artikel
25 The effects of inequality in the 1997–98 Asian crisis and the 2008–09 global tsunami: The case of five Asian economies Gu, Xinhua

110 C p.
artikel
26 The Halloween indicator, “Sell in May and Go Away”: Everywhere and all the time Zhang, Cherry Y.

110 C p.
artikel
27 The impact of US monetary policy on managed exchange rates and currency peg regimes Roevekamp, Ingmar

110 C p.
artikel
28 The joint effects of economic policy uncertainty and firm characteristics on capital structure: Evidence from US firms Li, Xiao-Ming

110 C p.
artikel
29 The maturity of sovereign debt issuance in the euro area Beetsma, Roel

110 C p.
artikel
30 The relationship between bank size and the propensity to lend to small firms: New empirical evidence from a large sample Mkhaiber, Achraf

110 C p.
artikel
31 The role of stock-flow adjustment during the global financial crisis Bergant, Katharina

110 C p.
artikel
32 Two challenges from globalization Obstfeld, Maurice

110 C p.
artikel
33 Why are countries’ asset portfolios exposed to nominal exchange rates? Adams, Jonathan J.

110 C p.
artikel
                             33 gevonden resultaten
 
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