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                             10 results found
no title author magazine year volume issue page(s) type
1 Country adjustment to a ‘sudden stop’: does the euro make a difference? Gros, Daniel
2014
12 1 p. 5-20
article
2 Forecasting exchange rate volatility: GARCH models versus implied volatility forecasts Pilbeam, Keith
2014
12 1 p. 127-142
article
3 Job creation and job destruction in economic crisis at firm level: the case of Greek manufacturing sectors Voulgaris, F.
2014
12 1 p. 21-39
article
4 Macroeconomic and financial adjustment in globalised economies - The state-of-play Belke, Ansgar
2014
12 1 p. 1-4
article
5 Monitoring household liquidity constraints across Europe: a panel approach Schlenker, Eva
2014
12 1 p. 75-91
article
6 Risk, ambiguity, and sovereign rating Caro, Paolo Di
2014
12 1 p. 41-57
article
7 The role of non-price determinants for export demand Verheyen, Florian
2014
12 1 p. 107-125
article
8 The role of the Federal Reserve as an international lender of last resort during the 2007–2008 financial crisis Morelli, Pierluigi
2014
12 1 p. 93-106
article
9 The sectoral reallocation of government purchases as budgetary-neutral stabilisation tool: a model-based analysis Hohberger, Stefan
2014
12 1 p. 59-74
article
10 The transmission of oil and food prices to consumer prices Belke, Ansgar
2014
12 1 p. 143-161
article
                             10 results found
 
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