Results 161-170 of 455.
|2013 ||Regional Implications of Financial Market Development: Credit Rationing, Trade, and Location||Seidel, Tobias / von Ehrlich, Maximilian
|2012 ||Current accounts in Europe: Implications of the external imbalances for the future of the common monetary policy||Gehringer, Agnieszka
|2012 ||Government bond market integration and the EMU: Correlation based evidence||Missio, Sebastian
|2011 ||Spillover and Competition Effects: Evidence from the Sub-Saharan African Banking Sector||Pohl, Birte
|2011 ||Regional Financial Integration in Sub-Saharan Africa - An Empirical Examination of its Effects on Financial Market Development||Frey, Leo / Volz, Ulrich
|2004 ||Money rules for the eurozone candidate countries||Orlowski, Lucjan T.
|2001 ||Balkan and Mediterranean candidates for European Union membership: The convergence of their monetary policy with that of the European Central Bank||Brada, Josef C. / Kutan, Ali M.
|1999 ||Financial crises after financial liberalization: Exceptional circumstances or structural weakness?||Weller, Christian E.
|2002 ||The impact of news, oil prices, and international spillovers on Russian financial markets||Hayo, Bernd / Kutan, Ali M.
|1999 ||Stability of monetary unions: Lessons from the break-up of Czechoslovakia||Fidrmuc, Jan / Horvath, Julius / Fidrmuc, Jarko