no |
title |
author |
magazine |
year |
volume |
issue |
page(s) |
type |
1 |
An exchange market pressure measure for cross country analysis
|
Patnaik, Ila |
|
2017 |
73 |
PA |
p. 62-77 16 p. |
article |
2 |
“Conditional PPP” and real exchange rate convergence in the euro area
|
Bergin, Paul R. |
|
2017 |
73 |
PA |
p. 78-92 15 p. |
article |
3 |
Editorial board
|
|
|
2017 |
73 |
PA |
p. IFC- 1 p. |
article |
4 |
Flooded with debt
|
Klomp, Jeroen |
|
2017 |
73 |
PA |
p. 93-103 11 p. |
article |
5 |
Re-examining the middle-income trap hypothesis (MITH): What to reject and what to revive?
|
Han, Xuehui |
|
2017 |
73 |
PA |
p. 41-61 21 p. |
article |
6 |
Risk assessment on euro area government bond markets – The role of governance
|
Boysen-Hogrefe, Jens |
|
2017 |
73 |
PA |
p. 104-117 14 p. |
article |
7 |
Risk sharing and real exchange rates: The role of non-tradable sector and trend shocks
|
Akkoyun, Hüseyin Çağrı |
|
2017 |
73 |
PA |
p. 232-248 17 p. |
article |
8 |
Self-fulfilling dynamics: The interactions of sovereign spreads, sovereign ratings and bank ratings during the euro financial crisis
|
|
|
2017 |
73 |
PA |
p. 118-133 16 p. |
article |
9 |
System stress testing of bank liquidity risk
|
Pagratis, Spyros |
|
2017 |
73 |
PA |
p. 22-40 19 p. |
article |
10 |
The G7 business cycle in a globalized world
|
Carstensen, K. |
|
2017 |
73 |
PA |
p. 134-161 28 p. |
article |
11 |
The great moderation in international capital flows: A global phenomenon?
|
McQuade, Peter |
|
2017 |
73 |
PA |
p. 188-212 25 p. |
article |
12 |
The impact of sovereign rating changes on European syndicated loan spreads: The role of the rating-based regulation
|
Drago, Danilo |
|
2017 |
73 |
PA |
p. 213-231 19 p. |
article |
13 |
The political determinants of government bond holdings
|
Eichler, Stefan |
|
2017 |
73 |
PA |
p. 1-21 21 p. |
article |
14 |
Violations of uncovered interest rate parity and international exchange rate dependences
|
Ames, Matthew |
|
2017 |
73 |
PA |
p. 162-187 26 p. |
article |