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                             54 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A new approach to tests of pricing-to-market Byrne, Joseph P.
2013
32 C p. 654-667
14 p.
artikel
2 A positive theory of fixed-rate funds-supplying operations in an accommodative financial environment Shino, Junnosuke
2013
32 C p. 595-610
16 p.
artikel
3 Are fiscal deficits inflationary? Lin, Hsin-Yi
2013
32 C p. 214-233
20 p.
artikel
4 Can cross-country portfolio rebalancing give rise to forward bias in FX markets? Chang, Sanders S.
2013
32 C p. 1079-1096
18 p.
artikel
5 Competitive depreciation and the role of distorting taxes in an interdependent economy Takamatsu, Satoko
2013
32 C p. 462-477
16 p.
artikel
6 Conditional dependence structure between oil prices and exchange rates: A copula-GARCH approach Aloui, Riadh
2013
32 C p. 719-738
20 p.
artikel
7 Debt and growth: New evidence for the euro area Baum, Anja
2013
32 C p. 809-821
13 p.
artikel
8 Does the euro dominate Central and Eastern European money markets? Kadow, Alexander
2013
32 C p. 700-718
19 p.
artikel
9 Does the exchange rate regime make a difference in inflation performance in developing and emerging countries?: The role of inflation targeting Yamada, Hiroyuki
2013
32 C p. 968-989
22 p.
artikel
10 Editorial board 2013
32 C p. IFC-
1 p.
artikel
11 Euro area money demand and international portfolio allocation: A contribution to assessing risks to price stability De Santis, Roberto A.
2013
32 C p. 377-404
28 p.
artikel
12 Exchange rate pass-through and inflation: A nonlinear time series analysis Shintani, Mototsugu
2013
32 C p. 512-527
16 p.
artikel
13 Exchange rates and individual good's price misalignment: Evidence of long-horizon predictability Dong, Wei
2013
32 C p. 611-636
26 p.
artikel
14 Exchange rate volatility and the time-varying effects of aggregate shocks Valcarcel, Victor J.
2013
32 C p. 822-843
22 p.
artikel
15 External and budget deficits in some developing countries Chihi, Foued
2013
32 C p. 77-98
22 p.
artikel
16 Factor decomposition and diversification in European corporate bond markets Pieterse-Bloem, Mary
2013
32 C p. 194-213
20 p.
artikel
17 Financial crises and cross-border banking: New evidence Kleimeier, Stefanie
2013
32 C p. 884-915
32 p.
artikel
18 Financial frictions and the strength of monetary transmission Aysun, Uluc
2013
32 C p. 1097-1119
23 p.
artikel
19 Financial integration, capital misallocation and global imbalances Benhima, Kenza
2013
32 C p. 324-340
17 p.
artikel
20 Foreign holdings of U.S. Treasuries and U.S. Treasury yields Beltran, Daniel O.
2013
32 C p. 1120-1143
24 p.
artikel
21 Foreign institutional investment: Is governance quality at home important? Abdioglu, Nida
2013
32 C p. 916-940
25 p.
artikel
22 Government intervention and firm investment: Evidence from international micro-data Lin, Chen
2013
32 C p. 637-653
17 p.
artikel
23 Grand corruption instead of commitment? Reconsidering time-inconsistency of monetary policy Bohn, Frank
2013
32 C p. 478-490
13 p.
artikel
24 Habit formation, adjustment costs, and international transmission of fiscal policy Gonzalez-Hernandez, Ramon A.
2013
32 C p. 341-359
19 p.
artikel
25 Hoarding of international reserves in China: Mercantilism, domestic consumption and US monetary policy Bonatti, Luigi
2013
32 C p. 1044-1078
35 p.
artikel
26 Home bias and cross border taxation Mishra, Anil V.
2013
32 C p. 169-193
25 p.
artikel
27 How smooth is price discovery? Evidence from cross-listed stock trading Chen, Haiqiang
2013
32 C p. 668-699
32 p.
artikel
28 Learning to forecast the exchange rate: Two competing approaches De Grauwe, Paul
2013
32 C p. 42-76
35 p.
artikel
29 Marking-to-market government guarantees to financial systems – Theory and evidence for Europe Baglioni, Angelo
2013
32 C p. 990-1007
18 p.
artikel
30 Monetary policy shocks and financial conditions: A Monte Carlo experiment Castelnuovo, Efrem
2013
32 C p. 282-303
22 p.
artikel
31 Nonlinear relationship between the real exchange rate and economic fundamentals: Evidence from China and Korea Tang, Xiaolei
2013
32 C p. 304-323
20 p.
artikel
32 Oil shocks and the zero bound on nominal interest rates Bodenstein, Martin
2013
32 C p. 941-967
27 p.
artikel
33 On the solvency of nations: Cross-country evidence on the dynamics of external adjustment Durdu, C. Bora
2013
32 C p. 762-780
19 p.
artikel
34 Predicting severe simultaneous recessions using yield spreads as leading indicators Christiansen, Charlotte
2013
32 C p. 1032-1043
12 p.
artikel
35 Private sector share of external debt and financial stability: Evidence from bank loans Hallak, Issam
2013
32 C p. 17-41
25 p.
artikel
36 Real asset returns, inflation and activity in a small, open, Cash-in-Advance economy Mansoorian, Arman
2013
32 C p. 234-250
17 p.
artikel
37 Real exchange rate fluctuations and the relative importance of nontradables Ouyang, Alice Y.
2013
32 C p. 844-855
12 p.
artikel
38 Shadow banking and financial stability: European money market funds in the global financial crisis Bengtsson, Elias
2013
32 C p. 579-594
16 p.
artikel
39 Strategic monetary policy in interdependent economies: Gains from coordination reconsidered Evers, Michael P.
2013
32 C p. 360-376
17 p.
artikel
40 Sudden stops and financial frictions: Evidence from industry-level data Cowan, Kevin
2013
32 C p. 99-128
30 p.
artikel
41 Taylor rules and exchange rate predictability in emerging economies Galimberti, Jaqueson K.
2013
32 C p. 1008-1031
24 p.
artikel
42 The cyclical properties of disaggregated capital flows Contessi, Silvio
2013
32 C p. 528-555
28 p.
artikel
43 The “forward premium puzzle” and the sovereign default risk Coudert, Virginie
2013
32 C p. 491-511
21 p.
artikel
44 The great intervention and massive money injection: The Japanese experience 2003–2004 Watanabe, Tsutomu
2013
32 C p. 428-443
16 p.
artikel
45 The impact of bank capital on profitability and risk in Asian banking Lee, Chien-Chiang
2013
32 C p. 251-281
31 p.
artikel
46 The impact of banking sector stability on the real economy Jokipii, Terhi
2013
32 C p. 1-16
16 p.
artikel
47 The link between life insurance activities and economic growth: Some new evidence Lee, Chien-Chiang
2013
32 C p. 405-427
23 p.
artikel
48 The real effects of banking shocks: Evidence from OECD countries Levintal, Oren
2013
32 C p. 556-578
23 p.
artikel
49 The relationship between the Renminbi future spot return and the forward discount rate Zhao, Yanping
2013
32 C p. 156-168
13 p.
artikel
50 The smallest firm effect: An international study De Moor, Lieven
2013
32 C p. 129-155
27 p.
artikel
51 Unconditional and conditional exchange rate exposure Chaieb, Ines
2013
32 C p. 781-808
28 p.
artikel
52 What determines Euro area bank CDS spreads? Annaert, Jan
2013
32 C p. 444-461
18 p.
artikel
53 What drives China's current account? Hoffmann, Mathias
2013
32 C p. 856-883
28 p.
artikel
54 What factors cause foreign banks to stay in London? Clare, Andrew
2013
32 C p. 739-761
23 p.
artikel
                             54 gevonden resultaten
 
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