Results 151-160 of 282.
|2013 ||Regional implications of financial market development: Credit rationing, trade, and location||von Ehrlich, Maximilian / Seidel, Tobias
|2013 ||Market structure and the cost of capital||Arouri, Mohamed El Hedi / Rault, Christophe / Sova, Robert / Sova, Anamaria
|2012 ||Institutions, the cost of capital, and long-run economic growth: Evidence from the 19th century capital market||Alquist, Ron / Cha, Ben
|2011 ||Creating an EU-level supervisor for cross-border banking groups: Issues raised by the U.S. experience with dual banking||Wall, Larry D. / Nieto, María J. / Mayes, David
|2006 ||Regional monetary integration among developing countries: New opportunities for macroeconomic stability beyond the theory of optimum currency areas?||Fritz, Barbara / Mühlich, Laurissa
|2012 ||Improving the Eurosystem for old and new members||McCarthy, Colm
|2012 ||CCCTB 4 EU? SA vs. FA w/ FTA||Davies, Ronald B.
|2012 ||Government bond market integration and the EMU: Correlation based evidence||Missio, Sebastian
|2011 ||Current account imbalances in the euro area: Catching up or competitiveness?||Belke, Ansgar / Dreger, Christian
|2004 ||Exchange rate risk and convergence to the Euro||Orlowski, Lucjan T.