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                             9 results found
no title author magazine year volume issue page(s) type
1 Assessing systemic risk and its determinants for advanced and major emerging economies: the case of ΔCoVaR Stolbov, Mikhail
2015
14 1 p. 119-152
article
2 Do global financial crises validate assertions of fractal market hypothesis? Dar, Arif Billah
2015
14 1 p. 153-165
article
3 Exchange rate volatility and ASEAN-4’s trade flows: is there a third country effect? Soleymani, Abdorreza
2015
14 1 p. 91-117
article
4 Impacts of common rules of origin on FTA utilization Hayakawa, Kazunobu
2015
14 1 p. 75-90
article
5 RCA indices, multinational production and the Ricardian trade model Deb, Kaveri
2015
14 1 p. 1-25
article
6 Real time uncertainty in fiscal planning and debt accumulation in the euro area Paloviita, Maritta
2015
14 1 p. 43-59
article
7 The effect of real-time fiscal policy on sovereign interest rates in OECD countries Dautovic, Ernest
2015
14 1 p. 167-185
article
8 The evaluation of East Asian banks by considering economic and political conditions as well as country risk Tamadonnejad, Alireza
2015
14 1 p. 27-41
article
9 The pro-Russian conflict and its impact on stock returns in Russia and the Ukraine Hoffmann, Manuel
2015
14 1 p. 61-73
article
                             9 results found
 
 Koninklijke Bibliotheek - National Library of the Netherlands