Munich Personal RePEc Archive

Items where Subject is "F - International Economics > F3 - International Finance > F39 - Other"

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Number of items at this level: 16.


Arize, Augustine C. and Kallianotis, Ioannis N. and Kasibhatla, Krishna M. and Malindretos, John and Rivera-Solis, Luis Eduardo (2008): Empirical evidence on the relationships between concentration and profitability in Latin American banking. Published in: American Business Review , Vol. Vol.XX, No. No.1 (January 2010): pp. 87-96.


Das, Debasish Kumar and Dutta, Champa Bati (2012): Global financial crisis and foreign development assistance shocks in least developing countries.


Frimpong, Joseph Magnus and Oteng-Abayie, Eric Fosu (2006): Bivariate causality analysis between FDI inflows and economic growth in Ghana.

Frimpong, Joseph Magnus and Oteng-Abayie, Eric Fosu (2006): Bounds testing approach: an examination of foreign direct investment, trade, and growth relationships. Forthcoming in: American Journal of Applied Sciences


Gajdosova, Katarina (2015): Corporate Social Responsibility in the context of International Financial Institutions.

Galy, Michel (1982): Bilateral and multilateral exchange rate and purchasing power parity indexes: the aggregation problem.


Hasan, Zubair (2003): The 1997-98 financial crisis in Malaysia: causes, response, and results – A Rejoinder. Published in: Islamic Economic Studies, IRTI Jeddah , Vol. 10, No. 2 (2003): pp. 45-53.


Mishra, Anil (2014): Measures of Equity Home Bias Puzzle.

Mishra, Anil V (2015): Foreign Bias in Australian Domiciled Mutual Fund Holdings.


Papanikolaou, Nikolaos (2015): The road towards the establishment of the European Banking Union.


Reinhart, Carmen and Borensztein, Eduardo (1994): The determinants of commodity prices. Published in: IMF Staff Papers , Vol. 41, No. 2 (June 1994): pp. 175-213.

Reiss, Daniel Gersten (2014): Invoice Currency in Brazil.


Saha, Malayendu (2013): The Ethical Dimensions Of Financial Crisis In The World Of Globalized Finance.

Sinha, Pankaj and Sinha, Gyanesh (2010): Volatility Spillover in India, USA and Japan Investigation of Recession Effects.

Sinha, Pankaj and Sinha, Gyanesh (2010): Volatility Spillover in India, USA and Japan Investigation of Recession Effects.


Vasilakis, Chrysovalantis and Samitas, Aristeidis (2009): Liquidity, volume and dividend yields in stock return data: Evidence from London Stock Exchange. Published in: International Journal of Financial Economics and Econometrics , Vol. Vol. 1, No. No2 (2009): pp. 79-88.

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