Results 151-160 of 598.
|2008 ||Expected inflation, expected stock returns, and money illusion: what can we learn from survey expectations?||Schmeling, Maik / Schrimpf, Andreas
|2011 ||Current account imbalances in the euro area: Catching up or competitiveness?||Belke, Ansgar / Dreger, Christian
|2006 ||Bank behavior and the cost channel of monetary transmission||Hülsewig, Oliver / Mayer, Eric / Wollmershäuser, Timo
|2007 ||Fundamentals, misvaluation, and investment: the real story||Chirinko, Robert S. / Schaller, Huntley
|2007 ||Monetary policy, vagabonding liquidity and bursting bubbles in new and emerging markets: an overinvestment view||Schnabl, Gunther / Hoffmann, Andreas
|2008 ||The regulatory response to the financial crisis||Goodhart, Charles A. E.
|2008 ||Scylla and Charybdis: explaining Europe's exit from gold, January 1928 - December 1936||Wolf, Nikolaus
|2008 ||High-frequency analysis of foreign exchange interventions: what do we learn?||Menkhoff, Lukas
|2009 ||Consumption risk sharing over the business cycle: the role of small firms' access to credit markets||Hoffmann, Mathias / Shcherbakova, Iryna
|2009 ||Bank of England interest rate announcements and the foreign exchange market||Melvin, Michael / Saborowski, Christian / Sager, Michael / Taylor, Mark P.