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JEL Classification: F3 - International Finance

Number of items at this level: 138.

Diallo, Ibrahima Amadou (2012): The effects of real exchange rate volatility on productivity growth. Unpublished.

Aizenman, Joshua and Sengupta, Rajeswari (2011): The financial trilemma in China and a comparative analysis with India. Unpublished.

Cortuk, Orcan and Singh, Nirvikar (2011): Turkey’s trilemma trade-offs: is there a role for reserves? Unpublished.

Muhammad, Shahbaz; Faridul, Islam and Naveed, Aamir (2011): Is devaluation contractionary? empirical evidence for Pakistan. Unpublished.

Le, Thai-Ha and Chang, Youngho (2011): The impact of oil price fluctuations on stock markets in developed and emerging economies. Unpublished.

Buscemi, Antonino and Yallwe, Alem Hagos (2011): Money laundry and financial development. Unpublished.

Yallwe, Hagos Alem and Buscemi, Antonino (2011): Money laundry and financial development. Published in: Antiriciclaggio and 231del2001 , Vol. 1, No. IT 15 Y 05256 04000000000953755 (August 2011): pp. 228-258.

Buscemi, Antonino and Yallwe, Alem Hagos (2011): Money laundry and financial development. Published in: Antiriciclaggio & 231 del 2001 , Vol. nr. 0 del 2011, No. ISSN 2239-0308 (July 2011): pp. 233-264.

Reinhart, Carmen; Kirkegaard, Jacob and Sbrancia, Belen (2011): Financial repression redux. Published in: Finance and Development , Vol. 48, No. 2 (June 2011): pp. 22-26.

Ojo, Marianne (2011): Capital, liquidity standards and macro prudential policy tools in financial supervision: addressing sovereign debt problems. Unpublished.

Ojo, Marianne (2011): Capital, liquidity standards and macro prudential policy tools in financial supervision: addressing sovereign debt problems. Unpublished.

Dai, Meixing (2011): Motivations and strategies for a real revaluation of the Yuan. Unpublished.

Hutchison, Michael; Sengupta, Rajeswari and Singh, Nirvikar (2011): Dove or Hawk? characterizing monetary regime switches during financial liberalization in India. Unpublished.

Sinha, Pankaj; Arora, Varun and Bansal, Vishakha (2011): Determinants of Public Debt for middle income and high income group countries using Panel Data regression. Unpublished.

Mo, Pak Hung (2011): Trade Liberalization Sequence for Sustained Economic Growth. Unpublished.

Wright, Allan S; Craigwell, Roland C and RamjeeSingh, Diaram (2011): Exchange rate determination in Jamaica: A market microstructures and macroeconomic fundamentals approach. Published in: Journal of Business, Finance and Economics in Emerging Economies , Vol. 6, No. 1 (2011): pp. 31-61.

Adenutsi, Deodat E. (2011): Financial development, international migrant remittances, and endogenous growth in Ghana. Published in: Studies in Economics and Finance , Vol. 68, No. 1 (2011): pp. 68-89.

Simplice A, Asongu (2010): Bank efficiency and openness in Africa: do income levels matter? Forthcoming in:

Mehmet Fatih, Ekinci (2010): Inattentive Consumers and Exchange Rate Volatility. Unpublished.

Ghiba, Nicolae (2010): Impactul modificării ratei dobânzii asupra cursului de schimb în România. Forthcoming in:

Hutchison, Michael; Sengupta, Rajeswari and Singh, Nirvikar (2010): India’s trilemma: financial liberalization, exchange rates and monetary policy. Unpublished.

Reinhart, Carmen and Reinhart, Vincent (2010): Diminished Expectations, Double Dips, and External Shocks: The Decade After the Fall. Unpublished.

Nagayasu, Jun (2010): Regional Inflation (Price) Behaviors: Heterogeneity and Convergence. Unpublished.

Reinhart, Carmen; Qian, Rong and Rogoff, Kenneth (2010): Do countries “graduate” from crises? Some historical perspective. Unpublished.

Cheung, Yin-Wong and Sengupta, Rajeswari (2010): Accumulation of reserves and keeping up with the Joneses: the case of LATAM economies. Published in: International Review of Economics and Finance , Vol. 2011, No. 20 (23. July 2010): pp. 19-31.

Grzelak, Lech and Oosterlee, Kees (2010): On cross-currency models with stochastic volatility and correlated interest rates. Unpublished.

Miankhel, Adil Khan; Kalirajan, Kaliappa and Thangavelu, Shandre (2010): Integration, decoupling and the global financial crisis: A global perspective. Unpublished.

Moore, Winston (2010): Managing the Process of Removing Capital Controls: What Does the Literature Suggest? Unpublished.

Ojo, Marianne (2010): The impact of capital and disclosure requirements on risks and risk taking incentives. Published in: European Finance, Risk Management, Banking and Financial Institution Journals [(CMBO) and Financial Economics Network (FEN) eJournals] (February 2010)

Porzecanski, Arturo C. (2010): When Bad Things Happen to Good Sovereign Debt Contracts: The Case of Ecuador. Forthcoming in: Law & Contemporary Problems No. Fall 2010

Grzelak, Lech and Oosterlee, Kees (2010): An Equity-Interest Rate Hybrid Model With Stochastic Volatility and the Interest Rate Smile. Unpublished.

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)

Berendsen, Wilfred (2010): A phronesis antenarrative about the understanding of money and usage of money in more phronetic ways. Unpublished.

Petrushchak, Bohdan (2010): Сучасні моделі фінансових криз. Published in: Вісник Львівського національного університету імені Івана Франка , Vol. 44, No. Серія економічна (May 2010): pp. 70-80.

Mohamed, Issam A.W. (2010): Tyrannical Greed and National Disintegration of the Sudanese Nation. Unpublished.

Rashid, Abdul and Ling, Jeffrey (2009): Fundamentals and Exchange Rates: Evidence from ASEAN-5. Unpublished.

Karabarbounis, Loukas (2009): Labor wedges and open economy puzzles. Unpublished.

Vătuiu, Teodora; Ţarcă, Naiana; Popeangă, Vasile and Popeangă, Vasile Nicolae (2009): The benefits of utilisation computer system for monitoring the movements of excise (EMCS). Unpublished.

Attia, Sayed Moawad (2009): The Role of USAID in Development in Egypt. Unpublished.

Vistesen, Claus (2009): Carry Trade Fundamentals and the Financial Crisis 2007-2010. Unpublished.

Pasricha, Gurnain (2009): Bank Competition and International Financial Integration: Evidence using a new Index. Unpublished.

Waheed, Muhammad (2009): Forward rate unbiased hypothesis, risk premium and exchange rate expectations: estimates on Pakistan Rupee-US Dollar. Unpublished.

Gete, Pedro (2009): Housing Markets and Current Account Dynamics. Unpublished.

Bonpasse, Morrison (2009): The single global currency - common cents for the world (2008 Edition). Unpublished.

Shirai, Sayuri (2009): The Impact of the US Subprime Mortgage Crisis on the World and East Asia. Unpublished.

Bartram, Söhnke M. and Bodnar, Gordon M. (2009): No Place To Hide: The Global Crisis in Equity Markets in 2008/09. Unpublished.

Jomadar, Dinesh (2009): LITIGATIONS, DAMAGES AND SOLUTIONS IN RESIDENTIAL MORTGAGE-BACKED SECURITIES. Unpublished.

Shirai, Sayuri (2009): IMFの融資制度ーアイスランド、ウクライナ、ラトビア、ハンガリーのケースをもとにして. Unpublished.

Reinhart, Carmen and Reinhart, Vincent (2009): When the North Last Headed South: Revisiting the 1930s. Unpublished.

Reinhart, Carmen and Felton, Andrew (2009): The first global financial crisis of the 21st century,Part II: Introduction. Published in: VoxEU-CEPR (22. February 2009): pp. 1-27.

Grzelak, Lech and Oosterlee, Kees (2009): On The Heston Model with Stochastic Interest Rates. Unpublished.

Aretz, Kevin and Bartram, Söhnke M. (2009): Corporate Hedging and Shareholder Value. Unpublished.

Parsley, David and Popper, Helen (2009): Understanding Real Exchange Rate Movements with Trade in Intermediate Products. Unpublished.

Bartram, Söhnke M.; Brown, Gregory W. and Minton, Bernadette (2009): Resolving the Exposure Puzzle: The Many Facets of Exchange Rate Exposure. Unpublished.

Hossain, Monzur (2009): International Monetary Arrangements for the 21st Century—Which Way? Unpublished.

Sherstnev, Mikhail (2009): Main sources of finance for development: retrospective view on the evolution of pre-crisis ideas. Unpublished.

Reinhart, Carmen and Rogoff, Kenneth (2009): This Time It’s Different: Eight Centuries of Financial Folly-Chapter 1. Published in: This Time It’s Different: Eight Centuries of Financial Folly (Princeton: Princeton University Press, 2009). (September 2009): pp. 3-20.

Neziri, Hekuran (2008): Can Credit Default Swaps Predict Financial Crises: An Empirical Test on Emerging Markets. Unpublished.

Zeljko, Bogetic; Karlis, Smits; Sergey, Ulatov; Olga, Emelyanova and Marco, Hernandez (2008): Russian economic report No. 17 (November 2008), The World Bank. Published in: Russian Economic Report , Vol. World Bank Russian Economic Reports www.worldbank.org/russia, No. No. 17 (18. November 2008)

Reinhart, Carmen and Reinhart, Vincent (2008): Is the US too big to fail? Published in: VoxEU-CEPR (17. November 2008): pp. 1-9.

Susanu, Monica (2008): Romanian Pattern in Absorption and Management of European Structural Funds : A Critical Analysis. Published in: The Annals of the Dunarea de Jos University. Economics and Applied Informatics , Vol. 1,

Reinhart, Carmen (2008): The first global financial crisis of the 21st century: Introduction. Published in: The First Global Financial Crisis of the Financial 21st Century (July 2008): pp. 1-24.

Bogetic, Zeljko; Ulatov, Sergey; Emelyanova, Olga and Smits, Karlis (2008): Russian economic report No.16 (June 2008), The World Bank. Published in: Russian Economic Report , Vol. www.worldbank.org/russia, No. World Bank's Russian Economic Reports (02. June 2008)

Weyzig, Francis and Van Dijk, Michiel (2008): Tax Haven and Development Partner: Incoherence in Dutch Government Policies. Unpublished.

Aoki, Takaaki (2008): One Proposition about Dynamic Portfolio Selection in an Open Economy and International Diversification. Published in: Economics Bulletin , Vol. Vol. 6, No. 18, (April 2008): pp. 1-8.

Adamcik, Santiago (2008): Sobre la Elección de Regímenes de Tipo de Cambio en Economías Emergentes. Unpublished.

Reinhart, Carmen and Rogoff, Kenneth (2008): ¿Es tan diferente la crisis financiera de sub-prime en EEUU? Una comparacion historica internacional. Unpublished.

Eliza, Nor; M., Azali; Law, Siong-Hook and Lee, Chin (2008): Demand For International Reserves in ASEAN-5 Economies. Unpublished.

Reinhart, Carmen; Vegh, Carlos and Velasco, Andres (2008): Money, Crises, and Transition Essays in Honor of Guillermo A. Calvo: An Introduction. Published in: Money, Crises, and Transition Essays in Honor of Guillermo A. Calvo (2008): pp. 1-12.

Fratostiteanu, Cosmin and Tanasie, Anca (2007): The country risk for Romania. Unpublished.

Shafaeddin, Mehdi (2007): Oil and Challenges of Trade Policy Making In Sudan in a Globalizing Arena. Unpublished.

Parsley, David and Wei, Shang-jin (2007): In Search of a Euro Effect: Big Lessons from a Big Mac Meal? Unpublished.

Landon, Stuart and Smith, Constance (2007): Investment and the exchange rate: Short run and long run aggregate and sector-level estimates. Unpublished.

Bartram, Söhnke M. (2007): What Lies Beneath: Foreign Exchange Rate Exposure, Hedging and Cash Flows. Unpublished.

Bartram, Söhnke M.; Brown, Philip; How, Janice C.Y. and Verhoeven, Peter (2007): Agency Conflicts and Corporate Payout Policies: A Global Study. Unpublished.

Bartram, Söhnke M. (2007): Corporate Cash Flow and Stock Price Exposures to Foreign Exchange Rate Risk. Unpublished.

Häseler, Sönke (2007): Collective Action Clauses in International Sovereign Bond Contracts - Whence the Opposition? Unpublished.

Hyde, Stuart J; Bredin, Don P and Nguyen, Nghia (2007): Correlation dynamics between Asia-Pacific, EU and US stock returns. Unpublished.

Bartram, Söhnke M.; Burns, Natasha and Helwege, Jean (2007): Foreign Currency Exposure and Hedging: Evidence from Foreign Acquisitions. Unpublished.

Neamtu, Liviu and Neamtu, Adina Claudia (2007): Companies’ market penetration and activity patterns in european market. Published in: Annals of the Oradea University, fascicle of Economical Science , Vol. vol I-Management-Marketing, No. tom XVI, (2007): pp. 1063-1067.

Siddiqui, Danish Ahmed and Ahmad, Mohsin Hasnain (2007): The Causal Relationship between Foreign Direct Investment and Current Account: An Empirical Investigation for Pakistan Economy. Unpublished.

Bonpasse, Morrison (2007): The Single Global Currency - Common Cents for the World (2007 Edition). Published in:

Dufour, Mathieu and Orhangazi, Ozgur (2007): The 2000-2001 Financial Crisis in Turkey: A Crisis for Whom? Forthcoming in: Review of Political Economy (2009)

De Haas, Ralph; Ferreira, Daniel and Taci, Anita (2007): What determines banks’ customer choice? Evidence from transition countries. Unpublished.

Schroeder, Gerhard (2006): Volatility says less about the future than accounting rules suggest. Forthcoming in: Accepted by the All China Economics International Conference Dec 18-20, 2006 in Hong Kong , Vol. n/a, No. ACE Conference Publication Submission No 1246 (March 2007): pp. 1-23.

Bartram, Söhnke M.; Brown, Gregory W. and Conrad, Jennifer (2006): The Effects of Derivatives on Firm Risk and Value. Unpublished.

Bartram, Söhnke M. and Bodnar, Gordon M. (2006): Crossing the Lines: The Conditional Relation between Exchange Rate Exposure and Stock Returns in Emerging and Developed Markets. Unpublished.

Alomar, Ibrahim (2006): Financial Intermediation in Muslim Community: Issues and Problems. Unpublished.

Ozturk, Ilhan and Acaravcı, Ali (2006): The effects of exchange rate volatility on the turkish export: an empirical investigation. Published in: Review of Social, Economic and Business Studies , Vol. Vol.2, No. Fall 2002-2003 (2002): pp. 197-206.

Benbouziane, Mohamed and Benamar, Abdelhak (2006): The Purchasing Power Parity in The Maghreb Countries : A Nonlinear Perspective. Unpublished.

Bartram, Söhnke M. and Bodnar, Gordon (2005): The Exchange Rate Exposure Puzzle. Unpublished.

Goyal, Ashima (2005): Asian reserves and the dollar: Is gradual adjustment possible? Published in: Global Economic Journal , Vol. 5, No. 3 (2005)

Goyal, Ashima and Agarwal, Ankita (2005): Risk and Asian exchange rate regimes. Published in: Global Economic Review , Vol. 34, No. 3 (September 2005): pp. 321-329.

Berka, Martin (2005): General Equilibrium Model of Arbitrage Trade and Real Exchange Rate Persistence. Unpublished.

Bartram, Söhnke M.; Brown, Gregory W. and Hund, John E. (2005): Estimating Systemic Risk in the International Financial System. Unpublished.

Reinhart, Carmen and Tokatlidis, Ioannis (2005): Before and After Financial Liberalization. Unpublished.

Hoque, Mahfuzul; Akter, Mahmuda and Shil, Nikhil Chandra (2004): Value-based measure: an application of EVA in small manufacturing company in Bangladesh. Published in: Journal of Institute of Bankers, Bangladesh , Vol. Vol. 51, No. 2, No. December – 2004 (31. December 2004): pp. 135-155.

Bartram, Söhnke M. (2004): The Use of Options in Corporate Risk Management. Unpublished.

Barakat, Mounther-Hussein and Rao, Ramesh-P (2003): The role of taxes in capital structure: evidence from taxed and non-taxed Arab economies. Unpublished.

Novak, Branko; Matić, Branko and Stjepanović, Slobodanka (2003): ISSUING POLICIES IN CURRENCIES DENOMINATED IN EUROS AND EUROCENTS. Published in: ICES 2003, From Transition to Development: Globalisation and Political Economy of Evelopment in Transition Economies. (2004): pp. 911-923.

Reinhart, Carmen and Kaminsky, Graciela (2002): Financial turmoil: Systemic or regional? Published in: Risk Measurement and Systemic Risk, Bank for International Settlements (October 2002): pp. 75-79.

Popov, Vladimir (2001): Currency crises in Russia and other transition economies. Published in: (2003)

Reinhart, Carmen (2001): Fear of Floating: Exchange Rate Flexibility Indices. Unpublished.

Gilroy, Bernard Michael (2001): Globalisation, multinational enterprises and European integration. Unpublished.

Reinhart, Carmen; Goldstein, Morris and Kaminsky, Graciela (2000): Assessing financial vulnerability, an early warning system for emerging markets: Introduction. Published in: Assessing Financial Vulnerability: An Early Warning System for Emerging Markets,Washington, DC: Institute for International Economics (2000): pp. 1-56.

Reinhart, Carmen (2000): Capital flows to emerging markets: Liberalization, overshooting and volatility (a comment). Published in: Capital Flows and the Emerging Economies: Theories, Evidence, and Controversies, Sebastian Edwards, ed. (Chicago: University of Chicago Press for the NBER, 2000), (2000): pp. 98-104.

Reinhart, Carmen; Goldstein, Morris and Kaminsky, Graciela (2000): Early Warning System: Empirical Results from The Signals Approach. Published in: Assessing Financial Vulnerability: An Early Warning System for Emerging Markets , Institute for International Economics (2000)

Reinhart, Carmen; Goldstein, Morris and Kaminsky, Graciela (2000): Methodology for an Early Warning System: The Signals Approach. Published in: Assessing Financial Vulnerability: An Early Warning System for Emerging Markets, Institute for International Economics (2000)

Reinhart, Carmen; Goldstein, Morris and Kaminsky, Graciela (2000): Rating the Rating Agencies. Published in: Assessing Financial Vulnerability: An Early Warning System for Emerging Markets , Institute for International Economics (2000)

Reinhart, Carmen and Calvo, Guillermo (2000): When Capital Inflows Come to a Sudden Stop: Consequences and Policy Options. Published in: in Peter Kenen and Alexandre Swoboda, eds. Reforming the International Monetary and Financial System, (Washington DC: International Monetary Fund, 2000) (2000): pp. 175-201.

Reinhart, Carmen and Calvo, Guillermo (1999): Inversión de las corrientes de capital, tipo de cambio y dolarización. Published in: Finanzas y Desarollo , Vol. 36, No. 3 (September 1999): pp. 13-15.

Landon, Stuart and Smith, Constance (1999): The risk premium, exchange rate expectations, and the forward exchange rate: Estimates for the Yen-Dollar rate. Unpublished.

Reinhart, Carmen and Reinhart, Vincent (1999): On the use of reserve requirements in dealing with capital flow problems. Published in: International Journal of Finance and Economics , Vol. 1, No. 4 (January 1999): pp. 27-54.

Reinhart, Carmen (1999): Some Parallels Between Currency and Banking Crises: A Comment. Published in: International Finance and Financial Crises: Essays in Honor of Robert P. Flood Jr. (1999): pp. 19-23.

Reinhart, Carmen and Calvo, Guillermo (1999): The Consequences and Management of Capital Inflows: Lessons for Sub-Saharan Africa. Published in: Expert Group on Development Issues Series, 1998:2, (Stockholm: Almqvist and Wiksell International, 1999). , Vol. 2, (1999): pp. 1-55.

Reinhart, Carmen; Kaminsky, Graciela and Lizondo, Saul (1998): Leading Indicators of Currency Crises. Published in: IMF Staff Papers , Vol. 45, No. 1 (March 1998): pp. 1-48.

Reinhart, Carmen and Kaminsky, Graciela (1998): On crises, contagion, and confusion. Published in: Journal of International Economics , Vol. 51, No. 1 (June 2000): pp. 145-168.

Reinhart, Carmen and Reinhart, Vincent (1998): Some lessons for policy makers who deal with the mixed blessing of capital inflows. Published in: Capital Flows and Financial Crises (1998): pp. 93-127.

van der Hoek, M. Peter and Chong, Yen Yee (1997): COST EFFECTIVENESS OF FOREIGN AID PROGRAMS IN THE BALTICS. Published in: International Advances in Economic Research , Vol. 3, No. 2 (May 1997): pp. 127-141.

Reinhart, Carmen; Ogaki, Masao and Ostry, Jonathan (1996): Saving Behavior in Low- and Middle-Income Developing Countries: A Comparison. Published in: IMF Staff Papers , Vol. 43, No. 1 (March 1996): pp. 38-71.

Reinhart, Carmen and Calvo, Sara (1996): Capital Flows to Latin America: Is There Evidence of Contagion Effects?”. Published in: in Guillermo A. Calvo, Morris Goldstein, Eduard Hochreiter, eds. Private Capital Flows to Emerging Markets After the Mexican Crisis (Washington, DC: Institute for International Economics, 1996), : pp. 151-171.

Reinhart, Carmen and Dunnaway, Steve (1996): Dealing with capital inflows: Are there any lessons? Published in: United Nations University, WIDER Research for Action , Vol. 28, (1996): pp. 1-43.

Reinhart, Carmen; Calvo, Guillermo and Leiderman, Leonardo (1996): Inflows of capital to developing countries in the 1990s. Published in: Journal of Economic Perspectives , Vol. 10, No. 2 (1996): pp. 123-139.

Reinhart, Carmen; Calvo, Guillermo and Leiderman, Leonardo (1995): Capital inflows to Latin America with reference to the Asian experience. Published in: Capital Controls, Exchange Rates and Monetary Policy in the World Economy (1995): pp. 339-382.

Chichilnisky, Graciela (1995): The evolution of a global network: a game of coalition formation. Published in: Journal of International and Comparative Economics , Vol. 4, (1995): pp. 179-197.

Reinhart, Carmen and Borensztein, Eduardo (1994): The Macroeconomic Determinants of Commodity Prices. Published in: IMF Staff Papers , Vol. 41, No. 2 (June 1994): pp. 236-261.

Reinhart, Carmen; Calvo, Guillermo and Leiderman, Leonardo (1993): “Capital Inflows and Real Exchange Rate Appreciation in Latin America: The Role of External Factors. Published in: ” IMF Staff Papers , Vol. 40, No. 1 (March 1993): pp. 108-151.

Reinhart, Carmen; Calvo, Guillermo and Leiderman, Leonardo (1993): El problema de la afluencia de capital: Conceptos y temas. Published in: Afluencia de Capitales y Estabilización en América Latina (1995): pp. 1-24.

Reinhart, Carmen and Reinhart, Vincent (1991): Output Fluctuations and Monetary Shocks: Evidence from Colombia. Published in: IMF Staff Papers , Vol. 38, No. 4 (December 1991): pp. 705-735.

Reinhart, Carmen and Reinhart, Vincent (1991): Output Fluctuations and Monetary Shocks. Published in: IMF Staff Papers , Vol. 38, No. 4 (December 1991): pp. 53-86.

Pasricha, Gurnain (2007): Financial Integration in Emerging Market Economies. Unpublished.

Alasrag, HUSSIEN (2005): سياسات تنمية الاستثمار الأجنبى المباشر الى الدول العربية. Published in: the IBK Papers No. Series NO.83 (01. December 2005)

Abotsi, Kodjo (2007): Foreign Investment in Chinese Joint Stock Banks: 1996-2006. Unpublished.

Tuysuz, Sukriye and Kuhry, Yves (2007): Interactions between interest rates and the transmission of monetary and economic news: the cases of US and UK. Unpublished.

Porzecanski, Arturo C. (2006): Private vs. Official Creditors: The Record Speaks. Unpublished.

Sfia, Mohamed Daly (2007): Régimes de change: Le chemin vers la flexibilité. Unpublished.

Narayanan, Supreena (2006): The Effect of Legal Systems and Accounting Conservatism on Corporate Governance: The U.S. versus the U.K.(A Comparative Analysis). Unpublished.

Mtonga, Elvis (2006): The real exchange rate of the rand and competitiveness of South Africa's trade. Unpublished.

This list was generated on Thu Feb 9 22:42:48 2012 CET.
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