Munich Personal RePEc Archive

Items where Subject is "E - Macroeconomics and Monetary Economics > E0 - General > E02 - Institutions and the Macroeconomy"

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Number of items at this level: 83.

A

Abdul Karim, Zulkefly (2008): Institution and foreign direct investment (FDI) : survey of the literature.

Abdul Karim, Zulkefly and Zaidi, Mohd Azlan Shah and Ismail, Mohd Adib and Abdul Karim, Bakri (2011): Institutions and foreign direct investment (FDI) in Malaysia: empirical evidence using ARDL model.

Albers, Scott and Albers, Andrew L. (2011): The Golden Mean, the Arab Spring and a 10-step analysis of American economic history. Published in: The Middle East Studies Online Journal , Vol. 3, No. 6 (3. August 2011): pp. 199-253.

Alia, Didier Yélognissè and Tchakoua, Herviste and Ngwesse, Roland and Kamga, Severin Yves (2009): Demande de réserves et aléa moral dans une Union Monétaire.

Alvi, Mohsin and Kamal, Usman (2012): Assessing Chinese currency regime (2012).

Atanda, Akinwande A. and Alimi, Olorunfemi Y. (2012): Anatomy of Cashless Banking in Nigeria: What Matters?

Avadanei, Andreea (2009): The impact of the Single Euro Payments Area on European corporates. Published in: Europe on the Move , Vol. ISBN 9, (9. May 2009): pp. 20-27.

Azam, Muhammad and Khan, Hashim and Hunjra, Ahmed Imran and Ahmad, H. Mushtaq and Chani, Muhammad Irfan (2011): Institutions, macroeconomic policy and foreign direct investment: South Asian countries case.

B

Balli, Faruk and Guven, Cahit and Balli, Hatice O. and Gounder, Rukmani (2010): The Role of Institutions, Culture, and Wellbeing in Explaining Bilateral Remittance Flows: Evidence Both Cross-Country and Individual-Level Analysis.

Bos, Frits and Teulings, Coen (2011): Evaluating election platforms: a task for fiscal councils? Scope and rules of the game in view of 25 years of Dutch practice.

Botta, Alberto (2012): Conflicting Claims in Eurozone? Austerity’s Myopic Logic and the Need of a European federal union in a post-Keynesian Eurozone Center-Periphery Model.

C

Caleiro, António (2011): Acerca da importância da sincronização do ciclo económico português no contexto europeu.

Charles, Sébastien and Lang, Dany and Asensio, Angel (2010): Post-Keynesian modelling: where are we, and where are we going to?

D

Dai, Meixing and MAZUY, Nicolas and RIOUX, Marie-Claude (2012): Un modèle suédois pour la résolution de la crise de la dette souveraine en Europe.

Dai, Meixing and SARFATI, Samuel (2012): Union bancaire européenne permet-elle de sauver l’euro ?

De La Motte, Laura and Czernomoriez, Janna and Clemens, Marius (2010): Zur Vertrauensökonomik: Der Interbankenmarkt in der Krise von 2007-2009.

Dushko, Josheski and Darko, Lazarov and Cane, Koteski (2011): Analysis of the optimal size of the government consumption.

E

Erdogdu, Erkan (2013): Essays on Electricity Market Reforms: A Cross-Country Applied Approach.

Estrada, Fernando and Mutascu, Mihai and Tiwari, Aviral (2011): Estabilidad política y tributación.

F

Fumagalli, Andrea and Lucarelli, Stefano (2007): La finestra di fronte. La théorie de la régulation vista dall’Italia. Published in: Quaderni di Dipartimento di Economia e Metodi Quantitativi No. 201

G

Ghafele, Roya and Gibert, Benjamin (2011): The transformative impact of business models.

H

Hanappi, Hardy (2013): Money, Credit, Capital and the State: On the evolution of money and institutions.

Hatzinikolaou, Dimitris (2010): How to Turn a Recession into a Depression: The Role of the Media, of the Politicians, and of the Political Analysts. Published in: Modern Economy , Vol. 1, No. November (November 2010): pp. 144-148.

Hein, Eckhard (1999): Zentralbank-Politik und makroökonomische Ergebnisse: eine sozio-institutionelle Interpretation. Published in: WSI Diskussionspapiere No. 73 (August 1999)

Herrera, Pablo Matías and Masci, Martín Ezequiel (2012): Posibles indicadores del sector turismo para la autoridad macroprudencial en la Argentina.

I

Irigoin, A and Grafe, R (2012): Bounded Leviathan: or why North & Weingast are only right on the right half. Published in: LSE Economic History Department Working Papers No. 164/12 : pp. 1-33.

J

Jung, Philip and Kuhn, Moritz (2011): The era of the U.S.-Europe labor market divide: what can we learn?

K

Khemraj, Tarron and Pasha, Sukrishnalall (2011): Monetary sterilization and dual nominal anchors: some Caribbean examples.

Kimbambu Tsasa Vangu, Jean - Paul (2012): Analyse de la Relation Guerres Civiles et Croissance Économique.

Kirdina, Svetlana G. (2004): Институциональная структура современной России: эволюционная модернизация. Published in: Voprosy Economiki (October 2004): pp. 89-98.

Kowalski, Tadeusz (2011): Economic policy and the financial and economic crisis. Published in: Working papers, Faculty of International Business and Economics No. WP/2011/01 (August 2011): pp. 1-15.

Kozhurin, Fedir (2011): Supramacroeconomics: the newest management technology.

L

Li, Zhe and Sun, Jianfei (2011): Bank competition, securitization and risky investment.

M

Marongiu, Federico (2007): Alta inflación y planes de ajuste en Brasil durante el retorno a la democracia - 1985-1994.

Mo, Pak Hung (2011): Minimum Wage Legislation and Economic Growth: Channels and Effects.

mamoon, dawood (2011): Economic Security, Well Functioning Courts and a Good Government.

N

Nawaz, Saima (2011): The Institutions-Growth Nexus: Stages of Development.

Ndjana, Willy Freddie and Alia, Didier Yélognissè and Mendo, Paulin (2009): Indépendance de la banque centrale et efficacité de la politique économique.

O

Ojo, Marianne (2011): Addressing risk challenges in a changing financial environment: the need for greater accountability in financial regulation and risk management.

Ojo, Marianne (2012): Bailouts and longer term refinancing operations (LTROs): when temporary cures generate longer term economic concerns.

Ojo, Marianne (2011): Basel III – responses to consultative documents, vital aspects of the consultative processes and the journey culminating in the present framework (Part 1). Published in: Banking and Financial Services Policy Report , Vol. 30, No. No 9 (September 2011): pp. 26-46.

Ojo, Marianne (2010): Central banks and different policies implemented in response to the recent Financial Crisis.

Ojo, Marianne (2010): Extending the scope of prudential supervision: Regulatory developments during and beyond the “effective” periods of the Post BCCI and the Capital Requirements directives. Published in: Journal of Advanced Research in Law and Economics , Vol. 1, No. 1 (July 2010)

Ojo, Marianne (2011): Fair value accounting and procyclicality: mitigating regulatory and accounting policy differences through regulatory structure reforms and Enforced Self Regulation.

Ojo, Marianne (2011): Financial stability, new macro prudential arrangements and shadow banking: regulatory arbitrage and stringent Basel III regulations.

Ojo, Marianne (2011): Harmonising Basel III and the Dodd Frank Act.

Ojo, Marianne (2012): Harmonising Basel III and the Dodd Frank Act through greater collaboration between standard setters and national supervisors.

Ojo, Marianne (2012): Harmonising Basel III and the Dodd Frank Act through international accounting standards: reasons why international accounting standards should serve as “thermostats”.

Ojo, Marianne (2011): Juridical and financial considerations on the public recapitalisation and rescue of financial institutions during periods of financial crises (Part II).

Ojo, Marianne (2012): LIBOR, EURIBOR and the regulation of capital markets: The impact of Eurocurrency markets on monetary setting policies.

Ojo, Marianne (2010): Measures aimed at mitigating pro cyclical effects of the Capital Requirements Framework: counter cyclical capital buffer proposals. Published in: Bank for International Settlements (BIS) Publications No. September 12 2010

Ojo, Marianne (2010): Preparing for Basel IV: why liquidity risks still present a challenge to regulators in prudential supervision.

Ojo, Marianne (2010): Redefining a role for central banks: The increased importance of central banks’ roles in the management of liquidity risks and macro prudential supervision in the aftermath of the Financial Crisis.

Ojo, Marianne (2011): Successfully implementing major financial stability regulatory reforms: the risk weighting based controversy (Basel v Dodd Frank) and the role of national supervisors.

Ojo, Marianne (2013): „Volcker/Vickers hybrid“?: The Liikanen Report and justifications for ring fencing and separate legal entities.

Ojo, Marianne (2012): A global perspective on the changing perceptions of the role of the external auditor and the significance of audit developments.

Ojo, Marianne (2012): The need for the adoption of International Financial Reporting Standards (IFRS): some explanations for the pace of implementation.

Ojo, Marianne (2010): The role of central banks and competition policies in the rescue and recapitalisation of financial institutions during (and in the aftermath of) the Financial Crisis.

Ojo, Marianne (2010): The role of monetary policy in matters relating to financial stability: Monetary policy responses adopted during the most recent Financial Crisis.

Oldani, Chiara and Savona, Paolo (2010): Souvlaki connection; reflections on the Greek crisis. Published in: Review of economic conditions in Italy No. 2 (2010): pp. 281-294.

P

Pastore, Mario (1998): "Trade, conflict, institutional reform and economic growth: The long 18th century expansion of world trade and the Iberian-American frontier.". Published in: Historia Paraguaya. Anuario de la Academia Paraguaya de la Historia No. 1 (2002): pp. 1-51.

Polterovich, Victor (2012): Приватизация и рациональная структура собственности (Privatizatsiya i ratsional’naya struktura sobstvennosti).

Polterovich, Victor (2012): Проектирование реформ: как искать промежуточные институты (Proektirovanie reform: kak iskat' promezhutochnye instituty). Forthcoming in: Montenegrin Journal of Economics , Vol. 2, No. 8 (2012)

Popa, Catalin C. (2008): Globalizarea Economica si Institutiile Financiare Internationale. Published in: Naval Academy Publishing House - Editura Academiei Navale 'Mircea cel Batran', Constanta No. ISBN 978-973-1870-32-8 (1. June 2008)

Q

Qayyum, Unbreen and Musleh ud, Din and Haider, Adnan (2012): Foreign Aid, External Debt and Governance.

S

Schlenkhoff, Georg (2009): Can Great Depression Theories Explain the Great Recession?

Shaikh, Salman (2012): Lessons from the Great Recession: Need for a New Paradigm. Published in: Journal of Economics & International Finance , Vol. 4(6), No. 2 (1. February 2012): pp. 131-136.

Sherstnev, Mikhail (2000): Enterprise in transition: institutional framework, economic behavior and the implications for macroeconomic management. Retrospective look on Russia in the 90th.

Siddiqui, Danish Ahmed and Ahmed, Qazi Masood (2009): Institutions and Economic Growth: A Cross country Evidence.

Simatele, Munacinga C H (2004): Financial sector reforms and monetary policy reforms in Zambia. Published in: University of Gothernburg PhD Series (February 2004)

Skold, Alida S. (2011): Intended and Unintended Results of the Proposed Volcker Rule.

Skold, Alida S. (2011): Intended and Unintended Results of the Proposed Volcker Rule.

Spruk, Rok (2012): After 20 Years of Status Quo: The Failure of Gradualism in Slovenia’s Post-Socialist Transition. Published in: CRCE Briefing Paper (19. January 2012)

Spruk, Rok (2012): After 20 years of status quo: the failure of gradualism in Slovenia’s post-socialist transition. Forthcoming in: CRCE Briefing Paper (19. January 2012)

Subhani, Dr. Muhammad Imtiaz and Hasan, Dr. Syed Akif and Mehar, Dr. Ayub and Osman, Ms. Amber (2011): Are the Major South Asian Equity Markets Co-Integrated? Published in: International Journal of Humanities and Social Science , Vol. 1, No. 12 (2011): pp. 117-121.

U

Ugur, Mehmet (2012): Governance, Regulation and Innovation: Introducing New Studies.

Ugur, Mehmet (2010): Institutions and economic performance: a review of the theory and evidence.

Ugur, Mehmet (2012): Market Power, Governance and Innovation: OECD Evidence.

Ugur, Mehmet (2008): Turkish economic policy under AKP government: an assessment for 2002-2007.

Ugur, Mehmet and Dasgupta, Nandini (2011): Corruption and economic growth: A meta-analysis of the evidence on low-income countries and beyond.

V

Vistesen, Claus (2010): Quantifying and Correcting Eurozone Imbalances Fighting the Debt Snowball.

W

Williamson, Stephen D. and Wright, Randall (2010): New Monetarist Economics: Models.

Z

Zaman, Md Monowaruz (2010): An Unbiased Pareto Improvement strategy for poverty alleviation.

This list was generated on Fri May 24 20:10:01 2013 CEST.
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