Results 11-20 of 139.
|2001 ||The regime-dependent determination of credibility: A new look at European interest differentials||Tillmann, Peter
|2008 ||A credit-banking explanation of the equity premium, term premium, and risk-free rate puzzles||Scheffel, Eric
|2008 ||Monetary effects on oil and gold prices||Gillman, Max / Nakov, Anton
|2013 ||Cash-in-the-market pricing in a model with money and over-the-counter financial markets||Mattesini, Fabrizio / Nosal, Ed
|2014 ||The People's Republic of China's financial markets: Are they deep and liquid enough for renminbi internationalization?||Cruz, Prince Christian / Gao, Yuning / Song, Lei Lei
|2014 ||Religious pluralism, yet a homogenous stance on interest rate: The case of Judaism, Christianity, and Islam||Abou-Zaid, Ahmed S. / Leonce, Tesa
|2014 ||Corporate governance: Behavioral approach and cognitive mapping technique||Garoui, Nassredine / Jarboui, Anis
|2005 ||Optimal stabilization policy with flexible prices||Berentsen, Aleksander / Waller, Christopher Jude
|2011 ||Trend growth and learning about monetary policy rules||Tesfaselassie, Mewael F.
|2004 ||Macroeconomic sources of risk in the term structure||Balfoussia, Chiona / Wickens, Mike