Okpara, Godwin Chigozie (2012): Soundness and unsoundness of banking sector in Nigeria: a discriminant analytical approach. Unpublished.
Kariastanto, Bayu (2011): Blanket guarantee, deposit insurance, and risk-shifting incentive: evidence from Indonesia. Unpublished.
Simplice A, Asongu (2011): Democracy and stock market performance in developing countries. Unpublished.
Simplice A, Asongu (2011): Government quality determinants of stock market performance in developing countries. Unpublished.
Yan, Isabel K.; Chan, Kenneth S. and Dang, Vinh Q.T. (2011): Chinese Firms’ Political Connection, Ownership, and Financing Constraints. Forthcoming in: Economics Letters
Appolloni, Andrea; D'Amato, Alessio and Wenjuan, Cheng (2011): Is public procurement going green? experiences and open issues. Unpublished.
Abdala Rioja, Yamile E (2011): All things considered: the interaction of the reasons for the financial crisis. Unpublished.
Amiri, Arshia and Ventelou, Bruno (2011): Forecasting the role of public expenditure in economic growth Using DEA-neural network approach. Unpublished.
Tatom, John (2011): Predicting failure in the commercial banking industry. Unpublished.
Tatom, John (2011): A report to the Federal Insurance Office. Unpublished.
Yan, Isabel K.; Chan, Kenneth S. and Dang, Vinh Q.T. (2011): Financial liberalization and financing constraints: some evidence from panel data of listed Chinese firms. Unpublished.
Ojo, Marianne (2011): Pluralism and deformalisation as mechanisms in the achievement of more equitable and just outcomes – the move from „Classical Formalism“ to deformalisation. Unpublished.
Osterberg, William P. (2011): Implementing repurchase agreements in emerging markets. Published in: Aestimatio. The IEB International Journal of Finance No. 2 (July 2011): pp. 1-12.
Shachmurove, Tomer and Shachmurove, Yochanan (2011): String of defaults: Spanish financial crises through the years. Published in: Aestimatio. The IEB International Journal of Finance No. 2 (July 2011): pp. 1-20.
Sinha, Pankaj and Mudgal, Hemant (2011): Valuation of 3G spectrum license in India: A real option approach. Unpublished.
Awojobi, Omotola and Katircioglu, Salih (2011): Financial development, trade openness and economic growth in Nigeria: time series evidence. Forthcoming in:
Yan, Isabel K.; Chan, Kenneth S. and Dang, Vinh Q.T. (2011): Effects of Financial Liberalization and Political Connection on Listed Chinese Firms’ Financing Constraints. Forthcoming in: World Economy
di Iasio, Giovanni and Quagliariello, Mario (2011): Incentives through the cycle: microfounded macroprudential regulation. Unpublished.
di Iasio, Giovanni and Quagliariello, Mario (2011): Incentives through the cycle: microfounded macroprudential regulation. Unpublished.
Siregar, Reza and Lim, Vincent C.S. (2011): Living with Macro-financial Linkages: Policy Perspectives and Challenges for SEACEN Countries. Unpublished.
Constantinescu , Radu (2011): Mainstream si keynesism: -două doctrine, două metode,aceleaşi idei-. Unpublished.
Constantinescu , Radu (2011): Mainstream si keynesism: -două doctrine, două metode,aceleaşi idei-. Unpublished.
ULGEN, Faruk (2010): Crise systémique et régulation financière. Unpublished.
Simplice A., Asongu (2010): Post-crisis bank liquidity risk management disclosure. Forthcoming in:
Simplice A., Asongu (2010): Post-crisis bank liquidity risk management disclosure. Forthcoming in:
Ramosaj, Berim (2010): Challenges to Solvency II Reform in Insurance Industry. Unpublished.
Caprio, Gerard Jr.; D'Apice, Vincenzo; Ferri, Giovanni and Puopolo, Giovanni Walter (2010): Macro Financial Determinants of the Great Financial Crisis: Implications for Financial Regulation. Published in: Temi di Economia e Finanza , Vol. 1, No. Special Issue (21. October 2010): pp. 1-31.
Metzger, Martina and Taube, Günther (2010): The rise of emerging markets' financial market architecture: constituting new roles in the global financial goverancen. Unpublished.
Barnes, Paul (2010): Insider dealing and market abuse: the UKs record on enforcement. Unpublished.
Matei, Ani and Matei, Lucica (2010): Anti-corruption strategies in some South-Eastern European states.An empirical study on the impact of the government performance. Unpublished.
Tatom, John (2010): Financial Legislation: The Promise and Record of the Financial Modernization Act of 1999. Unpublished.
Cole, Rebel A. and White, Lawrence J. (2010): Déjà vu all over again: The causes of U.S. commercial bank failures this time around. Unpublished.
Erber, Georg (2010): The Problem of Money Illusion in Economics. Unpublished.
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. Unpublished.
Bandyopadhyay, Arindam (2010): Understanding the Effect of Concentration Risk in the Banks’ Credit Portfolio: Indian Cases. Unpublished.
Schuetz, Sebastian Alexander (2010): Structured Finance Influence on Financial Market Stability – Evaluation of Current Regulatory Developments. Unpublished.
Ojo, Marianne (2010): Co-operative and competitive enforced self regulation: the role of governments, private actors and banks in corporate responsibility. Forthcoming in: Journal of Financial Regulation and Compliance , Vol. 19, No. 2 (May 2011)
Courtney, Samuel (2010): 2008 SEC short selling ban: impacts on the credit default swap market. Unpublished.
Courtney, Samuel (2010): 2008 SEC short selling ban: impacts on the credit default swap market. Unpublished.
Matei, Lucica and Matei, Ani (2010): Behaviour and action:citizens vs.public services. Published in: Proceedings 9-th International Congress of the International Association on Public and Nonprofit Marketing,Matei,L.,Dinu,T.(eds),2010,"Regulation and Best Practices in Public and Nonprofit Marketing" Bucharest,NSPSPA. (12. June 2010): pp. 206-218.
Ahsan, Syed M.; Barua, Shubhasish and Tax, Jaimie (2010): Toward an efficient and sustainable Microinsurance market: The regulatory perspective. Published in: Macro Dynamics of Micro Finance (2010): pp. 583-603.
Havrylchyk, Olena (2010): A macroeconomic credit risk model for stress testing the South African banking sector. Published in: South African Reserve Bank Working Paper , Vol. 3, No. 10 (March 2010)
Di Maggio, Marco (2010): The Political Economy of the Yield Curve. Unpublished.
Coskun, Yener (2010): Bay Ponzi’den Bay Madoff’a Ponzi Finansman (Ponzi Finance from Mr. Ponzi to Mr. Madoff). Published in: Sermaye Piyasası Dergisi , Vol. 1, No. 1 (January 2010): pp. 10-13.
Estrada, Fernando (2010): Money, credit and finance in The Arcades Project. Unpublished.
Suhadolnik, Nicolas; Galimberti, Jaqueson and Da Silva, Sergio (2010): Robot traders can prevent extreme events in complex stock markets. Unpublished.
El Bouhadi, Abdelhamid and Achibane, Khalid (2009): The Predictive Power of Conditional Models: What Lessons to Draw with Financial Crisis in the Case of Pre-Emerging Capital Markets? Unpublished.
Ojo, Marianne (2009): Regulating non audit services: Towards a principles based approach to regulation. Unpublished.
Samaniego, Roberto (2009): Financing Creative Destruction. Unpublished.
Spash, Clive L. (2009): The Brave New World of Carbon Trading. Forthcoming in: New Political Economy , Vol. 15, No. 2
Popa, Catalin C. (2009): The new relations between global economy, international trade and financial system. Published in: Scientific Bulletin of Naval Academy , Vol. 1, No. 2 (12. November 2009): pp. 132-136.
Eddy Yusof, Ezry Fahmy (2009): A Holistic View of Legal Documentation from Shari'ah Perspective. Unpublished.
Rapold, Ingo (2009): Das Goodwill-Modell des Wettbewerbsmarktes: Vertrauen ermöglichen und Arbeitsplätze schaffen. Unpublished.
Tatom, John (2009): Responding to the 2007- 09 financial crisis: A new Consumer Financial Protection Agency? Unpublished.
Matei, Lucica and Iancu, Diana Camelia (2009): On the Way to Modernization: The 'Good Enough' Governance Making in Romania. Unpublished.
Susanu, Monica (2009): Convergence to EMU through the Test of the Public Finance –Romania’s Budgetary Deficit and Public Debt. Published in: Volume de la 7e Conférence Internationale Intégrations économiques, concurrence et coopération, University Rijeka, Croaţia, Aprilie, 2009, ISBN 978-953-6148-82-0 (04. April 2009)
Varsanyi, Zoltan (2009): When risk weights increase the risk: some concerns for capital regulation. Unpublished.
Cole, Rebel A. and Wu, Qiongbing (2009): Is hazard or probit more accurate in predicting financial distress? Evidence from U.S. bank failures. Unpublished.
Duduiala-Popescu, Lorena (2009): The structural funds management in third-Central and Eastern European. Unpublished.
Delfiner, Miguel and del Canto, Angel (2009): La exigencia de capitales mínimos por riesgo de mercado - Nota técnica. Published in:
Rashid, Abdul and Husain, Fazal (2009): Testing the Weak Form Efficiency in Pakistan’s Equity, Badla and Money Markets. Unpublished.
Vollrath, Dietrich (2008): Agrarian Structure and Endogenous Financial System Development. Unpublished.
Alasrag, Hussien (2008): دور بورصة النيل فى تنمية المشروعات الصغيرة والمتوسطة فى مصر. Unpublished.
Vollrath, Dietrich (2008): Agrarian Structure and Endogenous Financial System Development. Unpublished.
Barnett, William A. (2008): What broke the bubble? Unpublished.
Gonzales-Martínez, Rolando; Hurtado, Enrique and Valdivia, Pedro (2008): Un método de Cálculo y Temporización de Previsiones Cíclicas para el Sistema Financiero Boliviano. Unpublished.
Lankina, Tomila (2008): Cross-Cutting Literature Review on the Drivers of Local Council Accountability and Performance. Published in: WORLD BANK LOCAL GOVERNANCE & ACCOUNTABILITY SERIES No. Paper No. 112 (July 2008): pp. 1-60.
Viego, Valentina (2008): Regulacion de la competencia inter-cpaitalista. El caso de los supermercados. Forthcoming in: Razon y Revolucion
Brack, Estelle (2008): Banque et finance islamique en France. Published in: Centre français de droit comparé , Vol. 11, (September 2008)
Wan Mahmood, Wan Mansor and Syed Tazhili, Sharifah Nurhidayu (2008): What’s Went Wrong With Mesdaq Market? Unpublished.
van den Hauwe, Ludwig (2008): Credit Expansion, the Prisoner´s Dilemma, and Free Banking as Mechanism Design. Unpublished.
van den Hauwe, Ludwig (2008): Credit Expansion, the Prisoner´s Dilemma, and Free Banking as Mechanism Design. Unpublished.
van den Hauwe, Ludwig (2008): Credit Expansion, the Prisoner´s Dilemma, and Free Banking as Mechanism Design. Unpublished.
Saleem, Shahid (2008): SMEDA SME Policy paper 2007- A Critical Review (An analytical commentary upon SME policy proposed by SMEDA Pakistan). Unpublished.
Delfiner, Miguel and Del Canto, Angel (2008): La exigencia de capitales mínimos por riesgo de tasa de interés - Nota técnica. Published in: (01. February 2008)
SCHAKEL, ARJAN H. (2008): Validation of the Regional Authority Index. Published in: Regional and Federal Studies , Vol. Vol. 18, No. 2&3 (03. June 2008): pp. 143-166.
Albulescu, Claudiu Tiberiu (2007): Reconsidérer la fonction de PDR : problème urgent au niveau de la zone euro. Unpublished.
Wang, Vey; Lai, Chung-Hui; Hu, Shih-Wen and Cheng, Chia-Hui (2007): 股票政策宣告對農產品價格與股票價格的動態影響. Published in: Agriculture and Economics , Vol. 39, (December 2007): pp. 1-43.
Lucarelli, Caterina and Palomba, Giulio (2007): Investors’ behaviour in the Chinese Stock Exchanges: Empirical Evidence in a Systemic Approach. Published in: Journal of Business and Policy Research , Vol. 3, No. 2 (November 2007): pp. 64-82.
Brugger Jakob, Samuel Immanuel (2007): ¿Puede el gobierno corporativo aprender del gobierno público? Unpublished.
Kai, Guo and Conlon, John R. (2007): WHY BUBBLE-BURSTING IS UNPREDICTABLE: WELFARE EFFECTS OF ANTI-BUBBLE POLICY WHEN CENTRAL BANKS MAKE MISTAKES. Unpublished.
Doran, James; Jiang, Danling and Peterson, David (2007): Short-Sale Constraints and the Idiosyncratic Volatility Puzzle: An Event Study Approach. Unpublished.
Mierzejewski, Fernando (2007): An actuarial approach to short-run monetary equilibrium. Published in: Proceedings of the 5th Actuarial and Financial Mathematics Day (2007): pp. 67-76.
de Panizza, Andrea (2007): Composite and decomposable indicators for evaluating RIA systems in practice: proposals for discussion and testing. Published in: ENBR working papers , Vol. 2007, No. 9 (2007): pp. 1-21.
Dima, Bogdan; Pirtea, Marilen; Barna, Flavia and Murgea, Aurora (2007): The Romanian Financial Market and the Financial Markets from EU - A Integration Analysis. Unpublished.
Georgescu, George (2006): Evaluarea României: adevăr sau ficţiune? Published in: Revista Bilant No. 26 (28. November 2006): pp. 62-66.
Panetta, Ida Claudia (2006): Financial markets trend: ageing and pension system reform. Unpublished.
van den Hauwe, Ludwig (2006): The Uneasy Case for Fractional-Reserve Free Banking. Forthcoming in: Procesos de Mercado Revista Europea de Economía Política , Vol. III, No. 2 (December 2006)
van den Hauwe, Ludwig (2006): Review of Huerta de Soto´s `Money, Bank Credit, and Economic Cycles´. Forthcoming in: New Perspectives on Political Economy , Vol. 2, No. 2 (November 2006): pp. 135-141.
Castaneda, Pablo (2006): Long Term Risk Assessment in a Defined Contribution Pension System. Unpublished.
Chandrasekaran, Pravin and Katayama, Roy (2006): Municipal Bonds : Is India ready for more? Unpublished.
Gualandri, Elisabetta and Grasso, Alessandro Giovanni (2006): Towards a new Approach to Regulation and Supervision in the EU: Post-FSAP and Comitology. Published in: Revue bancaire et financière Bank- en Financiewezen No. 2006/3 (April 2006): pp. 157-175.
Abu-Bader, Suleiman and Abu-Qarn, Aamer (2006): Financial Developent and Economic Growth Nexus: Time Series Evidence from Middle Eastern and North African Countries. Published in: Review of Development Economics , Vol. 12, No. 4 (2008): pp. 803-817.
Harb, Nasri and Al-Awad, Mouawiya (2005): Financial Development and Economic Growth in the Middle East. Published in: Applied Financial Economics , Vol. 15, No. 15 (2005): pp. 1041-1051.
Kadochnikov, Denis (2005): Economic Impact of Capital Flight from Russia and its Institutional Context: Why Capital Controls cannot be a Part of a Pro-Growth Policy (updated version). Unpublished.
Abu-Bader, Suleiman and Abu-Qarn, Aamer (2005): Financial Development and Economic Growth: Time Series Evidence from Egypt. Published in: Journal of Policy Modeling , Vol. 30, No. 5 (2008): pp. 887-898.
Bacha, Obiyathulla I. (2004): The Market for Financial Derivatives: Removing Impediments to Growth. Published in: Banker's Journal Malaysia No. 127 (December 2004)
Montgomery, Heather (2003): The role of foreign banks in post-crisis Asia: the importance of method of entry. Published in: ADB Institute Research Paper No. 51
Reinhart, Carmen (2003): New approaches to crisis resolution: Weighing the options (A comment). Published in: Brookings Trade Forum 2003 (2003): pp. 338-348.
Montgomery, Heather (2002): Taipei,China's banking problems: lessons from the Japanese experience. Published in: ADB Institute Research Paper No. 42
Hernandez-Verme, Paula (2002): Inflation, Growth and Exchange Rate Regimes in Small Open Economies. Unpublished.
Khan, Muhammad Arshad (2002): Restructuring of Financial Sector in Pakistan. Published in: Journal of The Institute of Bankers Pakistan , Vol. 70, No. 3 (July 2003): pp. 49-68.
Caprio, Gerard and Honohan, Patrick (2001): Finance for Growth: Policy Choices in a Volatile World. Published in: (21. May 2001)
Nabi, Mahmoud Sami (2001): Banking Performance and Speculative Attacks Under Asymmetric Information. Unpublished.
Reinhart, Carmen (2001): Private inflows when crises are anticipated: a case study of Korea (A comment). Published in: Financial Crises in Emerging Markets (2001): pp. 275-279.
Ayub, Mehar (2000): Stock market consequences of macro economic fundamentals. Published in: Conference Proceedings, Montreal: McGill University, (Canadian Economic Association) , Vol. 1, No. 2001 (2002): pp. 1-17.
Demarco, Gustavo; Rofman, Rafael and Whitehouse, Edward (1998): Supervising mandatory funded pension systems: issues and challenges. Published in: Social Protection Discussion Paper No. 9817 (1998)
Cole, Rebel A. and Fenn, George W. (1996): The role of commercial real estate investments in the banking crisis of 1985-92. Unpublished.
Cole, Rebel A. and Gunther, Jeffery W. (1995): A CAMEL rating's shelf life. Unpublished.
Cadogan, Godfrey (1994): Do Public Sector Contracts And Policy Towards Small Firms Matter?: Evidence From Women Business Enterprises. Unpublished.
Basu, Anup and Drew, Michael (2006): Appropriateness of Default Investment Options in Defined Contribution Plans: The Australian Evidence. Unpublished.
Polo, Andrea (2007): Corporate governance of banks: the current state of the debate. Unpublished.
Hirshleifer, David; Lim, Sonya S. and Teoh, Siew Hong (2004): Disclosure to a Credulous Audience: The Role of Limited Attention. Unpublished.
Lau, Wee Yeap and Chan, Tze-Haw (2004): Does Misclassification of Equity Funds Exist? Evidence from Malaysia. Unpublished.
Castaneda, Pablo (2005): Portfolio Choice and Benchmarking: The Case of the Unemployment Insurance Fund in Chile. Unpublished.
Alasrag, Hussien (2002): دور سوق الأوراق المالية فى تنمية الادخار فى مصر. Unpublished.
Alasrag, Hussien (2002): دور سوق الأوراق المالية فى تنمية الادخار فى مصر. Unpublished.
Ilmolelian, Peter (2005): The determinants of the Harare Stock Exchange (HSE) market capitalisation. Published in: EconPapers No. http://econpapers.repec.org/paper/wpawuwpem/0511016.htm
Andraž, Grum (2006): Razvitost slovenskega trga dolžniškega kapitala in ocenitev krivulje donosnosti. Published in: Financial stability report: Expert papers on financial stability No. Bank of Slovenia (May 2006): pp. 1-86.
Cowling, Marc (2007): The Role of Loan Guarantee Schemes in Alleviating Credit Rationing in the UK. Unpublished.