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JEL Classification: F36 - Financial Aspects of Economic Integration

Number of items at this level: 170.

Kunieda, Takuma and Shibata, Akihisa (2012): Financial Globalization and Animal Spirits. Unpublished.

Simplice A, Asongu (2012): African Financial Development Dynamics: Big Time Convergence. Unpublished.

Simplice A , Asongu (2012): Are Proposed African Monetary Unions Optimal Currency Areas? Real and Monetary Policy Convergence Analysis. Unpublished.

Simplice A, Asongu (2012): Real and Monetary Policy Convergence: EMU Crisis to the CFA Zone. Unpublished.

de Haas, Ralph and van Horen, Neeltje (2012): International Shock Transmission after the Lehman Brothers Collapse. Evidence from Syndicated Lending. Forthcoming in: American Economic Review Papers & Proceedings No. May 2012

Brown, Martin and de Haas, Ralph (2012): Foreign banks and foreign currency lending in emerging Europe. Published in: Economic Policy , Vol. 69, No. 27 (January 2012): pp. 57-98.

Pessoa, Argentino (2011): The Euro Area sovereign debt crisis: Some implications of its systemic dimension. Unpublished.

Kunieda, Takuma; Okada, Keisuke and Shibata, Akihisa (2011): Finance and Inequality: How Does Globalization Change Their Relationship? Unpublished.

Turhan, Ibrahim M.; Arslan, Yavuz and Kılınç, Mustafa (2011): Global Imbalances, Current Account Rebalancing and Exchange Rate Adjustments. Published in: The Central Bank of the Republic of Turkey Working Paper Series , Vol. 27, No. 11 (December 2011): pp. 1-21.

Chan, Tze-Haw (2011): A structural modeling of exchange rate, prices and interest rates between Malaysia-China in the liberalization era. Unpublished.

Stavarek, Daniel; Repkova, Iveta and Gajdosova, Katarina (2011): Theory of financial integration and achievements in the European Union. Forthcoming in: Matoušek, R. – Stavárek, D. (eds.) Financial Integration in the European Union. (Routledge Studies in European Economy). London: Routledge, 2012. ISBN 978-0-415-69076-8. (16. March 2012)

Abad, José M; Loeffler, Axel and Zemanek, Holger (2011): TARGET2 Unlimited: Monetary Policy Implications of Asymmetric Liquidity Management within the Euro Area. Unpublished.

Juravle, Daniel (2011): Structura balanţei serviciilor şi tendinţele evolutive ale acesteia. Unpublished.

Pontines, Victor and Siregar, Reza Yamora (2011): Cross-border bank lending to selected SEACEN economies: an integrative report. Unpublished.

Balli, Faruk; Basher, Syed Abul and Jean Louis, Rosmy (2011): Channels of risk-sharing among Canadian provinces: 1961--2006. Unpublished.

Avadanei, Andreea (2011): Integrarea pietei bursiere europene in contextul UEM. Forthcoming in:

Gus, Garita and Chen, Zhou (2011): Averting Currency Crises: The Pros and Cons of Financial Openness. Unpublished.

Geza, Paula and Giurca Vasilescu, Laura (2011): Perspectives on Fulfilling the Nominal and Real Convergence Criteria by Romania for the Adoption of Euro Currency. Unpublished.

Schilirò, Daniele (2011): A new governance for the EMU and the economic policy framework. Unpublished.

Schilirò, Daniele (2011): A new governance for the EMU and the economic policy framework. Unpublished.

Geza, Paula and Giurca Vasilescu, Laura (2011): The Optimum Currency Area. Is the Euro Zone an Optimum Currency Area? Unpublished.

Balli, Faruk; Basher, Syed Abul and Ozer-Balli, Hatice (2011): Income insurance and the determinants of income insurance via foreign asset revenues and foreign liability payments. Unpublished.

Avadanei, Andreea (2011): Indicatori de măsurare a integrării financiare europene. Literature review. Unpublished.

Avadanei, Andreea (2011): O abodare de ansamblu privind provocările adoptării euro: cazul României. Unpublished.

Nagayasu, Jun (2010): Economic Factors Contributing to Time-Varying Conditional Correlations in Stock Returns. Unpublished.

Stavarek, Daniel (2010): Determinants of the exchange market pressure in the euro-candidate countries. Unpublished.

Heryan, Tomas and Stavarek, Daniel (2010): How related are interbank and lending interest rates? Evidence on selected EU countries. Published in: European Financial and Accounting Journal , Vol. 5, No. 3-4 : pp. 42-55.

Nagayasu, Jun (2010): Domestic Capital Mobility: A Panel Data Approach. Unpublished.

Avadanei, Andreea (2010): Dinamica integrarii pietelor europene de obligatiuni. Forthcoming in:

Ulgen, Faruk (2010): Shaky emerging economies in view of the global financial crisis: the Turkish economy after three decades of liberal reforms. Unpublished.

alessandrini, sergio (2010): Financial integration in the four Basins: a quantitative comparison. Unpublished.

Mohsin, H and Rivers, P (2010): Financial Market Integration of South Asian Countries: Panel data Analysis. Published in: International Journal of Economics and Finance , Vol. 3, No. 2 (May 2011)

Sen Gupta, Abhijit (2010): Management of International Capital Flows: The Indian Experience. Unpublished.

Anastasios, Pappas (2010): Capital mobility and macroeconomic volatility: evidence from Greece. Published in: Journal of Economic Asymmetries , Vol. 7, No. 1 (June 2010): pp. 101-121.

Balli, Faruk; Basher, Syed Abul and Ozer-Balli, Hatice (2010): From Home Bias to Euro Bias: Disentangling the Effects of Monetary Union on the European Financial Markets. Forthcoming in: Journal of Economics and Business

Abdelaal Mahmoud, Ashraf (2010): FDI, local Financial Markets, Employment and poverty alleviation. Published in: DEVELOPMENT ECONOMICS eJOURNAL , Vol. Vol. 2, No. 134 (30. July 2010)

Melecky, Martin (2010): Choosing the Currency Structure of Foreign-currency Debt: a Review of Policy Approaches. Unpublished.

Abdel Aal Mahmoud, Ashraf (2010): FDI, local Financial Markets, employment and poverty alleviation. Unpublished.

Hutchison, Michael; Kendall, Jake; Pasricha, Gurnain and Singh, Nirvikar (2010): Indian Capital Control Liberalization: Evidence from NDF Markets. Unpublished.

Wälti, Sébastien (2010): No decoupling, more interdependence: business cycle comovements between advanced and emerging economies. Unpublished.

Gande, Amar and Parsley, David (2010): Sovereign Credit Ratings, Transparency and International Portfolio Flows. Unpublished.

Dupuy, Philippe and Carlotti, Jean-Etienne (2010): The Optimal Path of the Chinese Renminbi. Unpublished.

Drumea, Cristina (2010): European Union emission trading scheme (ETS). An analysis of its impact for Romanian economy ant its effectiveness. Published in: , Vol. XXIV. microCAD International Scientific Conference, section Q: Economic Challenges in the 21st Century, ISBN 978-963-661-925-3, (March 2010): pp. 179-184.

Clifton, Judith and Díaz-Fuentes, Daniel (2010): Is the European Union ready for foreign direct investment from emerging markets? Published in: FOREIGN DIRECT INVESTMENT FROM EMERGING MARKETS: CHALLENGES AHEAD (2010)

Pavla, Vodová (2010): Markets of loans provided to household and their integration measured by price indicators. Published in: Mathematical Methods in Economics (2010): pp. 664-669.

Clifton, Judith and Díaz-Fuentes, Daniel (2010): The European Union, southern multinationals and the question of the 'strategic industries'. Unpublished.

Balli, Faruk; Guven, Cahit; 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. Unpublished.

Estrada, Fernando (2009): Tamaño y Riesgo en los Mercados Financieros. Forthcoming in: Cuadernos CIPE

Garita, Gus (2009): Risk-Factor Portfolios and Financial Stability. Unpublished.

Kumar, Saten and Rao, B. Bhaskara (2009): A Time Series Approach to the Feldstein-Horioka Puzzle with Panel Data from the OECD Countries. 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.

Wälti, Sébastien (2009): Business cycle synchronicity, amplitude and the euro: one size does not yet fit all. Unpublished.

Basher, Syed A.; Balli, Faruk and Louis, Rosmy (2009): Channels of risk-sharing among Canadian provinces: 1961–2006. Unpublished.

Gopalan, Sasidaran and Rajan, Ramkishen. S (2009): Financial sector de-regulation in Emerging Asia: Focus on foreign bank entry. Unpublished.

Cruz Rodriguez, Alexis (2009): Choosing and assessing exchange rate regimes: A survey of the literature. Unpublished.

Garita, Gus (2009): How Does Financial Openness Affect Economic Growth and its Components? Unpublished.

Stavarek, Daniel and Dohnal, Marek (2009): Exchange Market Pressure in Central Europe: An Application of the Girton-Roper Model. Published in: Economies of Central and Eastern Europe: Convergence, Opportunities and Challenges. Conference Proceedings. Tallinn, 14-16 June 2009. ISBN 978-9949-430-28-4.

Rao, B. Bhaskara; Tamazian, Artur and Kumar, Saten (2009): Systems GMM estimates of the Feldstein-Horioka puzzle for the OECD countries and tests for structural breaks. Unpublished.

Escaith, Hubert and Gonguet, Fabien (2009): International Trade and Real Transmission Channels of Financial Shocks in Globalized Production Networks. Published in: Staff Working Paper ERSD No. 2009-06 (May 2009)

Norman, Stephen and Phillips, Kerk L. (2009): What is the Shape of Real Exchange Rate Nonlinearity? Unpublished.

Bhattacharya, Sulagna (2009): FULL Capital Account Convertibility:India's Readiness in the context of Financial Integration. Unpublished.

Brack, Estelle; Elsen, Robert and Pons, Jean-François (2009): Financial services in the euro-mediterranean partnership : banking. Published in: Towards the free trade area, Euromed Market Programme (April 2009)

Miron, Dumitru; Dima, Alina and Paun, Cristian (2009): A model for assessing Romania's real convergence based on distances and clusters methods. Published in: Economic Computation and Economic Cybernetics Studies and Research , Vol. 1, (2009): pp. 1-18.

Cheong, David and Plummer, Michael (2009): FDI Effects of ASEAN Integration. Published in: Région et Développement , Vol. 29, (30. June 2009): pp. 50-67.

Shirai, Sayuri (2009): Evaluating the Present State of Japan as An International Financial Center. Unpublished.

Saikia, Dilip (2009): Outward Foreign Direct Investment from India. Unpublished.

Duduiala-Popescu, Lorena (2009): Institutional aspects of economic integration – economic integration and political integration. Unpublished.

Duduiala-Popescu, Lorena (2009): The strategy adopted by Romania EURO. Unpublished.

Garita, Gus and Zhou, Chen (2009): Can Financial Openness Help Avoid Currency Crises? Unpublished.

Wälti, Sébastien (2009): The myth of decoupling. Unpublished.

Ben Doudou, Makrem (2009): Relation entre intégration financière et croissance: pourquoi est-elle ambiguë? Unpublished.

Hutchison, Michael; Kendall, Jake; Pasricha, Gurnain Kaur and Singh, Nirvikar (2009): Indian Capital Control Liberalization: Evidence from NDF Markets. Unpublished.

Balli, Faruk; Louis, Rosmy J. and Osman, Muhammed (2009): The Patterns of cross-border portfolio investments in the GCC region: do institutional quality and the number of expatriates play a role? Unpublished.

De Haas, Ralph and van Lelyveld, Iman (2009): Internal Capital Markets and Lending by Multinational Bank Subsidiaries. Forthcoming in: Journal of Financial Intermediation No. Forthcoming (2009)

Vinokurov, Evgeny and Libman, Alexander (2009): Система индикаторов евразийской интеграции: основные выводы. Unpublished.

Melecky, Martin (2009): Macroeconomic Management, Financial Sector Development and Crisis Resilience: Some Stylized Facts from Central and Eastern Europe. Unpublished.

Pavla, Vodová (2009): Measuring the integration of credit markets. Published in: STAVÁREK, D., VODOVÁ, P. (ed.) Proceedings of the 12th International Conference on Finance and Banking. (2010): pp. 260-265.

Pérez, Francisco; Arribas, Iván and Tortosa-Ausina, Emili (2009): Openness and geographic neutrality: How do they contribute to international banking integration? Published in: Openness and geographic neutrality: How do they contribute to international banking integration? No. 5 (2009)

Arribas, Iván; Pérez, Francisco and Tortosa-Ausina, Emili (2009): The determinants of international financial integration revisited: the role of networks and geographic neutrality. Published in: Fundación BBVA - Documentos de Trabajo No. 15 (2009)

Giofré, Maela M. (2009): The Role of Information Asimmetries and Inflation Hedging in International Equity Portfolios. Forthcoming in: Journal of Multinational Financial Management

Giofré, Maela/M. (2008): Convergence of EMU Equity Portfolios. Unpublished.

Abdul Karim, Zulkefly and Abdul Karim, Bakri (2008): Stock market integration: Malaysia and its major trading partners. Unpublished.

ciumag, marin and ciumag, anca (2008): The Indicators from the Financial Structure of the Balance Sheet. Published in: EcoTrend 2008 Economie si Globalizare , Vol. Editia a V-a, No. ISBN 978-973-144-205-1 (14. February 2009): pp. 48-52.

Stavarek, Daniel (2008): Exchange Market Pressure in Central European Countries from the Eurozone Membership Perspective. Published in: South East European Journal of Economics and Business , Vol. 3, No. 2 : pp. 7-18.

Popa, Catalin C. (2008): A functional overview of financial crises development and propagation. Published in: Knowledge Based Organization 2008 International Conference, November 2008, Sibiu, Romania , Vol. 3, No. ISSN 1843-6722 (15. November 2008): pp. 278-282.

Nabi, Mahmoud Sami; Ben Aissa, Safouane and Drine, Imed (2008): Ouverture financière et rattrapage technologique : Evidence empirique à partir du bassin méditerranéen. Unpublished.

Hu, Jian (2008): Dependence Structures in Chinese and U.S. Financial Markets -- A Time-varying Conditional Copula Approach. Unpublished.

Canegrati, Emanuele (2008): In Search of Market Index Leaders: Evidence from World Financial Markets. Unpublished.

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,

Vahabi, Mehrdad (2008): بحران مالی جهانی و شکست الگوی سرمایه‌داری نئو لیبرال یا آمریکائی. Published in: Ettela'at , Vol. 23, No. 253-254 (November 2008): pp. 4-33.

Yue, Eddie and He, Dong (2008): The Future of the Renminbi and Its Impact on the Hong Kong Dollar. Published in: Cato Journal , Vol. 28, No. 2 (Spring/Summer 2008) (August 2008): pp. 197-203.

Balli, Faruk; Louis, Rosmy J. and Osman, Mohammad (2008): International Income Smoothing and Foreign Asset Holdings. Forthcoming in: Journal of Economics and Finance

Balli, Faruk; Osman, Mohammad and Louis, Rosmy J. (2008): International Portfolio Inflows to GCC Markets. Are There any General Patterns? Unpublished.

Louis, Rosmy; Balli, Faruk and Osman, Mohammad (2008): Monetary Union Among Arab Gulf Cooperation Council (AGCC) Countries: Does the symmetry of shocks extend to the non-oil sector? Unpublished.

Antonescu, Mihai and Antonescu, Ligia (2008): Financial-Accounting Settlements Applying in 2008. Unpublished.

Albulescu, Claudiu Tiberiu (2008): La dynamique de la stabilité du système financier roumain : une analyse en terme d’indice agrégé de stabilité. Unpublished.

Mirdala, Rajmund (2008): Development of international investment position in the selected new European Union member countries. Published in: Regional Economy , Vol. 13, No. 3 (November 2008): pp. 139-151.

Susanu, Monica (2008): Controversies and Challenges along the Access - Absorption Route of the European Structural Funds. Unpublished.

Giofré, Maela/M. (2008): EMU Effects on Stock Markets: From Home Bias to Euro Bias. Published in: International Research Journal of Finance and Economics No. 15 (May 2008): pp. 128-150.

Pasricha, Gurnain (2008): Financial integration in emerging market economies. Unpublished.

Chan, Tze-Haw (2008): International Parities among China and Her Major Trading Partners in Asia Pacific. Unpublished.

Balogun, Emmanuel Dele (2008): An Empirical Test of Trade Gravity Model Criteria for the West African Monetary Zone (WAMZ). Unpublished.

Bacha, Obiyathulla I. (2008): A Common Currency Area for MENA Countries? A VAR Analysis of viability. Published in: The International Journal of Emerging Markets , Vol. 3, No. 2 (2008): pp. 197-215.

Ugur, Mehmet (2008): Economic implications of Turkish EU membership: the advantages of tying one’s hands. Unpublished.

Liew, Venus Khim-Sen and Ling, Tai-Hu (2008): Real interest rate parity: evidence from East Asian economies relative to China. Unpublished.

Reinhart, Carmen and Kaminsky, Graciela (2008): The center and the periphery: The globalization of financial turmoil. Published in: Flows, Crisis, and Stabilization: Essays in Honor of Guillermo A. Calvo (2008): pp. 171-216.

Albulescu, Claudiu Tiberiu (2007): Reconsidérer la fonction de PDR : problème urgent au niveau de la zone euro. Unpublished.

Balli, Faruk and Sorensen, Bent E. (2007): Risk Sharing among OECD and EU Countries: The Role of Capital Gains, Capital Income, Transfers, and Saving. Unpublished.

Khan, Muhammad Arshad and Qayyum, Abdul (2007): EXCHANGE RATE DETERMINATION IN PAKISTAN: EVIDENCE BASED ON PURCHASING POWER PARITY THEORY. Published in: Pakistan Economic and Social Review , Vol. 44, No. 2 (December 2007): pp. 181-202.

Tanasie, Anca and Fratostiteanu, Cosmin (2007): ROMANIA AND THE EURO. A RELATIVE POSITIONING AMONG THE CANDIDATES. Unpublished.

Mirdala, Rajmund (2007): Decomposition of external capital inflows and outflows in the small open transition economy (The case analysis of the Slovak republic). Published in: Panoeconomicus , Vol. volume number 55, No. issue number 2 (2008) (22. June 2008): pp. 219-231.

Melecky, Martin (2007): A structural investigation of third-currency shocks to bilateral exchange rates. Unpublished.

Saadaoui, Zied (2007): L’intégration financière internationale :Une comparaison descriptive des effets sur les pays industrialisés et les pays émergents. Unpublished.

Melecky, M (2007): Currency Preferences in a Tri-Polar Model of Foreign Exchange. Unpublished.

Brack, Estelle (2007): Viêtnam : transformation du secteur bancaire et accession à l’OMC. Published in: Revue Banque , Vol. 245, (February 2007): pp. 8-13.

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

Khan, Muhammad Arshad and Sajid, Muhammad Zubair (2007): Integration of Financial Markets in SAARC Countries: Evidence Based on Uncovered Interest rate Parity Hypothesis. Published in: Kashmir Economic Review , Vol. 16, No. 1 (2007): pp. 1-16.

Baharumshah, Ahmad Zubaidi; Liew, Venus Khim-Sen and Chan, Tze-Haw (2007): The real interest rate differential: international evidence based on nonlinear unit root tests. Unpublished.

Pasricha, Gurnain Kaur (2006): Survey of Literature on Covered and Uncovered Interest Parities. Unpublished.

Berka, Martin (2006): Non-linear adjustment in law of one price deviations and physical characteristics of goods. Forthcoming in: Review of International Economics

Hahm, Joon-Ho and Shin, Kwanho (2006): Complementarity among International Asset Holdings: Do Banks Have a Special Role? Unpublished.

Ling, Tai-Hu; Liew, Venus Khim-Sen and Syed Khalid Wafa, Syed Azizi Wafa (2006): Real interest rates equalization: The case of Malaysia and Singapore. Unpublished.

Stavarek, Daniel (2006): Estimation of the Exchange Market Pressure in the EU4 Countries: A Model-Dependent Approach. Published in: Investment Management and Financial Innovations , Vol. 4, No. 3 (2007): pp. 80-94.

Faruk, Balli (2006): New Patterns in International Portfolio Allocation and Income Smoothing. Unpublished.

Alrubaie, falah.K.Ali (2006): دراسة تحليله لمشكلات تمويل المشروعات الصغيرة مع الإشارة لتجربة مصرف التنمية في درنة. Unpublished.

Shin, Kwanho and Yang, Doo Yong (2006): Complementarity between Bilateral Trade and Financial Integration. Unpublished.

Kim, Soyoung; Lee, Jong-Wha and Shin, Kwanho (2006): Regional and Global Financial Integration in East Asia. Unpublished.

Mehar, Ayub (2006): Flow of portfolio investment among the Muslim countries: modelling and possibilities. Unpublished.

Apostolov, Mico (2006): Optimum currency areas and asymmetric shocks. Published in:

Sorensen, Jens Kjaer (2006): The Dynamics of House Prices - International Evidence. Unpublished.

Hess, Gregory and Shin, Kwanho (2006): Understanding the Backus-Smith Puzzle: It’s the (Nominal) Exchange Rate, Stupid. Unpublished.

De Haas, Ralph and Naaborg, Ilko (2006): Foreign banks in transition countries. To whom do they lend and how are they financed? Published in: Financial Markets, Institutions & Instruments , Vol. 15, No. 4 (2006): pp. 159-199.

Aysan, Ahmet Faruk and Ceyhan, Sanli Pinar (2006): Globalization of Turkey’s Banking Sector: the Determinants of Foreign Bank Penetration in Turkey. Unpublished.

Abu-Qarn, Aamer and Abu-Bader, Suleiman (2006): On the optimality of a GCC Monetary Union: Structural VAR, Common Trends and Common Cycles Evidence. Published in: The World Economy , Vol. 31, No. 5 (2008): pp. 612-630.

Boshoff, Willem H. (2006): The transmission of foreign financial crises to South Africa: a firm-level study. Published in: Studies in Economics and Econometrics , Vol. 30, No. 2 (2006): pp. 61-85.

Maudos, Joaquin and Pérez, Francisco (2004): Convergencia, integración y competencia en los mercados financieros europeos. Published in: Papeles de Economía Española No. 101 (2004): pp. 114-136.

Reinhart, Carmen; Kaminsky, Graciela and Vegh, Carlos (2003): The unholy trinity of financial contagion. Published in: Journal of Economic Perspectives , Vol. 17, No. 4 (September 2003): pp. 51-74.

Erdogdu, Erkan (2002): Turkey and Europe: Undivided but not united. Published in: Middle East Review of International Affairs , Vol. 6, No. 2 (June 2002): pp. 40-51.

Chan, Tze-Haw (2002): Dynamic financial linkages among the Asia Pacific economies: an empirical assessment of real interest parity condition. Unpublished.

Goyal, Ashima (2002): Reform proposals from developing Asia: finding a win-win strategy. Published in: Chapter 7 from DEBATING THE GLOBAL FINANCIAL ARCHITECTURE (2002)

Reinhart, Carmen and Edison, Hali (2001): Stopping hot money. Published in: Journal of Development Econommics , Vol. 22, No. 2 (December 2001): pp. 533-553.

Reinhart, Carmen; Calvo, Guillermo; Fernandez Arias, Eduardo and Talvi, Ernesto (2001): Growth and External Financing in Latin America. Unpublished.

Reinhart, Carmen and Kaminsky, Graciela (2001): Bank Lending and Contagion: Evidence from the Asian Crisis. Published in: in Takatoshi Ito and Anne Krueger, eds. Regional and Global Capital Flows: Macroeconomic Causes and Consequences, (Chicago: University of Chicago Press for the NBER, 2001). (2001): pp. 73-99.

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

Reinhart, Carmen; Goldstein, Morris and Kaminsky, Graciela (2000): Early Warning System: An Assessment of Vulnerability. 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): 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)

Alessandrini, Sergio and Resmini, Laura (2000): FDI in the Mediterranean Region: a Comparison with CEE Experience. Unpublished.

Reinhart, Carmen and Tokatlidis, Ioannis (2000): Financial Liberalization: The African Experience. Published in: Journal of African Economies , Vol. 12, No. supplement 2 (2003): pp. 53-88.

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; Kaminsky, Graciela and Goldstein, Morris (2000): Notes on contagion. 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; Goldstein, Morris and Kaminsky, Graciela (2000): Some Policy Issues Regarding an Early Warning System. Published in: Assessing Financial Vulnerability: An Early Warning System for Emerging Markets (2000)

Reinhart, Carmen; Goldstein, Morris and Kaminsky, Graciela (2000): The Wake of Crises and Devaluations. Published in: Assessing Financial Vulnerability: An Early Warning System for Emerging Markets , Institute for International Economics (2000)

Bouoiyour, Jamal and Rey, Serge (1999): Une analyse de la compétitivité-prix des PTM et des PECO face à la Zone Euro. Unpublished.

Kohnert, Dirk (1998): Der Euro, ein Segen für Afrika? Folgen der Anbindung der afrikanischen Franc-Zone an den Euro. Published in: Afrika-Jahrbuch No. 1997 (1998): pp. 59-70.

Reinhart, Carmen; Calvo, Guillermo and Vegh, Carlos (1994): Targeting the real exchange rate. Published in: Journal of Development Econommics , Vol. 47, (June 1995): pp. 97-133.

Belloc, Marianna and Federici, Daniela (2007): A Two-Country NATREX Model for the Euro/Dollar. Published in: CIDEI W.P. No. N. 76 (April 2007): pp. 1-30.

Stavarek, Daniel (2007): Comparative analysis of the exchange market pressure in Central European countries with the Eurozone membership perspective. Unpublished.

Beckmann, Rainer; Eppendorfer, Carsten and Neimke, Markus (2002): Deepening European Financial Integration: Theoretical Considerations and Empirical Evaluation of Growth and Employment Benefits. Published in: IEW Diskussionsbeiträge No. 42 (2002)

Chan, Tze-Haw; Khong, Wye Leong Roy and Baharumshah, Ahmad Zubaidi (2003): Dynamic Financial Linkages of Japan and ASEAN Economies: An Application of Real Interest Parity. Published in: Capital Markets Review , Vol. 11 (1 & 2), No. special issue (2003): pp. 23-40.

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

Baharumshah, Ahmad Zubaidi; Chan, Tze-Haw and Masih, A. Mansur A. (2005): Financial Integration of East Asian Economies: Evidence from Real Interest Parity. Unpublished.

Baharumshah, Ahmad Zubaidi; Chan, Tze-Haw; Masih, A. Mansur A. and Lau, Evan (2007): Financial Integration of East Asian Economies: Evidence from Real Interest Parity. Unpublished.

Neves, J. Anchieta; Stocco, Leandro and Da Silva, Sergio (2007): Is Mercosur an optimum currency area? Unpublished.

Chan, Tze-Haw and Hooy, Chee Wooi (2003): On Volatility Spillovers and Dominant Effects in East Asian: Before and After the 911. Unpublished.

Chan, Tze-Haw; Baharumshah, Ahmad Zubaidi and Lau, Evan (2005): Real Financial Integration among the East Asian Economies: A SURADF Panel Approach. Unpublished.

Bénétrix, Agustín S. (2007): The Anatomy of Large Valuation Episodes. Unpublished.

Schettino, Francesco (2004): The FTAA After The Emergence Of the Euro. Unpublished.

Deabes, Tosson (2005): الطر يق الو سط بين المعدلات الثا بتة و المتغيرة. Unpublished.

Aysan, Ahmet Faruk and Ceyhan, Sanli Pinar (2006): Why Do Foreign Banks Invest In Turkey? Unpublished.

This list was generated on Wed Feb 8 22:43:03 2012 CET.
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