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Munich Personal RePEc Archive

Items where Subject is "F65 - Finance"

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Number of items at this level: 53.

A

Abuselidze, George (2019): European Integration of Georgia and Financial-Economic Condition: Achievements and Challenges. Published in: European Journal of Sustainable Development , Vol. 8, No. 1 (1 February 2019): pp. 53-68.

Alvi, Mohsin (2017): Critical Issues in Accounting.

Asongu, Simplice and Nchofoung, Tii (2021): The terrorism-finance nexus contingent on globalisation and governance dynamics in Africa.

Assis de Salles, Andre (2021): Assessing the First Shocks of Covid-19 Pandemic on the Idiosyncratic Risk in the Brazilian and the Emerging Markets.

Ayoki, Milton (2011): Small is beautiful but vulnerable: the Swazi economy aftermath of the global financial crisis. Published in:

B

BOUKEF JLASSI, NABILA and HAMDI, HELMI (2013): Financial liberalization, disaggregated capital flows and banking crisis: Evidence from developing countries. Forthcoming in: Economic Modelling

Bayari, Celal (2010): Japanese Hybrid Factories in Australia: Analysing Labor Relations and Reflecting on the Work of Tetsuo Abo. Published in: Euro Asia Journal of Management , Vol. 20, No. 39 (2) (1 December 2010): pp. 111-134.

Bayari, Celal (2011): Manufacturing, Market Policy and Exports in Australia: Emulating the East Asian Economic Miracle. Published in: East Asia: Comparative Perspective , Vol. 1, No. 10 (1 December 2011): pp. 7-32.

Becker, Fernando and Fernandez, Pascual and Fontela, Emilio (1995): The need for international monetary stability: proposals for stabilizing exchange rates. Published in: Futures , Vol. 27, No. 3 (April 1995): pp. 273-285.

Beniak, Patrycja (2019): The emerging market reaction to Fed tightening.

Bista, Raghu (2005): Measuring Wage Inequality of Foreign Direct Investment Industries in Nepal: Gini Coefficient Analysis. Published in: Economic Journal , Vol. 109, No. 2 (9 May 2005): pp. 25-33.

Blind, Georg and Stefania, Lottanti von Mandach (2017): Modeling the „Visitors to Rome“ effect: Reputation Building in Anglo-Saxon Buyout Funds in Japan.

Bonizzi, Bruno (2013): Capital market inflation in emerging markets: The case of Brazil and South Korea. Published in: PSL Quarterly Review , Vol. 68, No. 273 (September 2015): pp. 115-150.

C

Cha'ngom, Narcisse and Tamokwe Piaptie, Georges Bertrand (2018): Les transferts de fonds des migrants contribuent-ils à l'inclusivité de la croissance en Afrique Subsaharienne?

D

D'Avino, Carmela and Shabani, Mimoza (2017): A new approach to measuring universal banking.

Danila, Marius (2016): Uniunea Pietelor de capital - un proiect esential pentru Europa. Published in: Economistul No. 13 (30 August 2016)

Debalke, Negash Mulatu (2023): Investigating Volatility Transmissions among Sovereign Bonds in African and Emerging Markets Using Multivariate GARCH Models.

Dähler, Timo (2020): Bias or ignorance? The politics and economics behind sovereign credit ratings.

F

Fujii, Hidemichi and Managi, Shunsuke and Matousek, Roman and Rughoo, Aarti (2017): Bank Efficiency, Productivity and Convergence in EU countries: A Weighted Russell Directional Distance Model.

G

Georgescu, George (2013): Echilibrul financiar global şi riscul suveran în perioada post-criză.

H

Huang, Anni and Kishor, N. Kundan (2017): Corporate Overseas Debt Issuance in the Context of Global Liquidity Transmission.

Huang, Yajing and Liu, Taoxiong and Lien, Donald (2017): Portfolio Homogenization and Systemic Risk of Financial Network.

J

Jeanne, Olivier and Noland, Marcus and Subramanian, Arvind and Williamson, John (2013): Financial globalization and long-run growth: is Asia different? Published in: Asian Capital Market Development and Integration (January 2014): pp. 133-161.

Jin, Hui and Cao, Yanka (2014): Panel Data Analysis of Performance of QDII Equity Funds in China.

K

Kaluzhsky, Mikhail (2001): Социальный феномен глобализации. Published in: Вестник Омского отделения Академии гуманитарных наук No. № 6. (2001): pp. 37-45.

Kaminsky, Graciela (2017): The Center and the Periphery: Two Hundred Years of International Borrowing Cycles.

Kaminsky, Graciela and Vega-Garcia, Pablo (2015): Systemic and Idiosyncratic Sovereign Debt Crises.

Karkowska, Renata (2014): The analytical framework for identifying and benchmarking systemically important financial institutions in Europe. Published in: Faculty of Management Working Paper Series No. 4/2014 (September 2014): pp. 1-19.

Khan, Shiraz and Mehboob, Farhan (2014): Impact of FDI on GDP: An Analysis of Global Economy on Production Function.

Kohnert, Dirk (2023): L'impact de QAnon et d'autres idéologies du complot sur l'Afrique subsaharienne à l'ère du capitalisme mondial.

Kohnert, Dirk (2023): QAnon and other conspiracy ideologies’ impact on Sub-Saharan Africa in the age of Global capitalism.

L

Ledenyov, Dimitri O. and Ledenyov, Viktor O. (2013): Venture capital optimal investment portfolio strategies selection in diffusion - type financial systems in global capital markets with nonlinearities.

Lee, Chin and Lee, Weng Hong (2008): Can financial ratios predict the Malaysian stock return? Published in: Integration & Dissemination , Vol. 2, (2008): pp. 7-8.

Levy, Daniel and Mayer, Tamir and Raviv, Alon (2020): Academic Scholarship in Light of the 2008 Financial Crisis: Textual Analysis of NBER Working Papers.

M

Mavrozacharakis, Emmanouil (2015): Demokratie , öffentliche Güter und Europa.

Menna, khaled and Hamidouche, Nassima (2010): Financement des hydrocarbures et libéralisation financière en Algérie. Quels liens ?

Mirakhor, Abbas (2007): Islamic Finance and Globalization: A Convergence? Published in: Journal of Islamic Economics, Banking and Finance , Vol. 3, No. 2 (2007): pp. 11-72.

Mittal, Amit and Garg, Ajay Kumar (2018): Bank stocks inform higher growth – A System GMM analysis of ten emerging markets in Asia. Published in: Quarterly Review of Economics and Finance (June 2020)

Mungiria, James and Ondabu, Ibrahim (2019): Role of Credit Reference Bureau On Financial Intermediation: Evidence from The Commercial Banks in Kenya. Forthcoming in:

N

Nogueira, David Coito and Fuinhas, José Alberto and Marques, António Cardoso (2014): Análise VAR dos índices bolsistas SP500, FTSE100, PSI20, HSI e IBOVESPA.

O

Ojo, Marianne and DiGabriele, Jim and Serrano Caballero, Enriqueta and Joshi, Amol and Lahiri, Nandini and Im, Hemmatian (2020): Trade negotiations and global relations: emerging players and actors (II). Published in: Lambert Academic Publishers No. ISBN 978 -620-0-78340

Okpara, Godwin Chigozie (2020): News on Stock Market Returns and Conditional Volatility in Nigeria: An EGARCH-in-Mean Approach.

Ozkok, Zeynep (2010): Financial Openness and Financial Development: An Analysis Using Indices.

P

Paseda, Oluseun and Obademi, Olalekan (2020): Macroeconomic variables and their effects on the capital structure of quoted Nigerian firms. Published in: Finance and Banking Review , Vol. 14, No. 1 (31 January 2020): pp. 23-40.

Paseda, Oluseun and Olowe, Rufus (2018): The Debt Maturity Structure of Nigerian Quoted Firms. Published in: Lagos Journal of Banking, Finance and Economic Issues , Vol. 4, No. 1 (30 June 2018): pp. 51-96.

Peresetsky, Anatoly and Yakubov, Ruslan (2015): Autocorrelation in an unobservable global trend: Does it help to forecast market returns?

Porzecanski, Arturo C. (2016): The Origins of Argentina’s Litigation and Arbitration Saga, 2002-2016. Published in: Fordham International Law Journal , Vol. 40, No. 1 (2016): pp. 41-77.

Porzecanski, Arturo C. (2016): Peru's selective default: A stain on its creditworthiness.

Porzecanski, Arturo C. (2016): Sovereign Debt Restructuring After Argentina. Forthcoming in: Development (2017)

Porzecanski, Arturo C. (2015): The origins of Argentina’s litigation and arbitration saga, 2002-2014.

R

Rashid, Muhammad (2021): A brief perspective on globalization.

Reddy, Kotapati Srinivasa and Nangia, Vinay Kumar and Agrawal, Rajat (2014): The 2007-2008 global financial crisis, and cross-border mergers and acquisitions: A 26-nation exploratory study. Published in: Global Journal of Emerging Market Economies , Vol. 6, No. 3 (2014): pp. 257-281.

S

Sun, David and Tsai, Shih-Chuan (2013): Diversifying Risks in Bond Portfolios: A Cross-border Approach.

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