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Updated: 10/12/2008 09:56
International financial markets
Related working papers and articles
Periodically collapsing asset price bubbles: evidence from the G5, Applied Economic Letters, 11(1), 61-69, 2003.
Les conséquences de la libéralisation des flux de capitaux sur le compte financier de la balance des paiements allemande
Au-delà du troisième Pilier de Bâle 2: l’intégration des signaux de marché dans la supervision bancaire, Banque & Marchés 89, pp. 1-12, 2007.
Market discipline in international banking regulation: Keeping the playing field level, Journal of Financial Stability 2(3), pp. 286–310, October 2006
Market Deregulations, Volatility and Spillover Effects: Experiences from Emerging Stock Markets
Stock Market Liberalization and Informational Efficiency in Emerging Markets: New Consideration and Tests
An Empirical Analysis of Structural Changes in Emerging Market Volatility
Beyond the Third Pillar of Basel Two: Taking Bond Market Signals Seriously
A Dynamic Equilibrium Model of Imperfectly Integrated Financial Markets
Enhancing Corporate Governance for Financial Institutions: The Role of International Standards
The Role of the Basle Standards in International Banking Supervision
Taking stock of risk management techniques for sovereigns
Influence des Facteurs Institutionnels sur l--xcès de Risque et les Ratings de Banques dans les Pays Emergents
Managing Fiscal Policy in Latin America and the Caribbean: Volatility, Procyclicality, and Limited Creditworthiness
Contagion Effects in the Aftermath of Lehman’s Collapse: Measuring the Collateral Damage
See also
Economics and international finance
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