Results 191-200 of 426.
|2004 ||Fear of floating and fear of pegging: An empirical anaysis of de facto exchange rate regimes in developing countries||Zhou, Jizhong / von Hagen, Jürgen
|2004 ||The choice of exchange rate regimes in developing countries: A mulitnominal panal analysis||von Hagen, Jürgen / Zhou, Jizhong
|1999 ||Stability of monetary unions: Lessons from the break-up of Czechoslovakia||Fidrmuc, Jan / Horvath, Julius / Fidrmuc, Jarko
|2004 ||Transmission channels of business cycles synchronization in an enlarged EMU||Traistaru, Iulia
|2004 ||Testing creditor moral hazard in sovereign bond markets: A unified theoretical approach and empirical evidence||Evrensel, Ayşe Y. / Kutan, Ali M.
|1998 ||Estimating a European demand for money||Hayo, Bernd
|2003 ||Endogeneity of Currency Areas and Trade Blocs: Evidence from the Inter-War Period||Wolf, Nikolaus / Ritschl, Albrecht
|2012 ||Revenue and expenditure nexus: A case study of ECOWAS||Magazzino, Cosimo
|2007 ||A Model of the IMF as a Coinsurance Arrangement||Chami, Ralph / Sharma, Sunil / Shim, Ilhyock
|2005 ||Forecasting Inflation via Experimental Stock Markets: Some Results from Pilot Markets||Berlemann, Michael / Nelson, Forrest