1,127 results on '"f3"'
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102. Profit Shifting, Returns on Foreign Direct Investments and Investment Income Imbalances
103. Large-Scale Empirical Tests of the Markov Tree Model
104. Did real economic uncertainty drive risk connectedness in the oil–stock nexus during the COVID-19 outbreak? A partial wavelet coherence analysis
105. Is a correlation-based investment strategy beneficial for long-term international portfolio investors?
106. International Macroeconomics: From the Great Financial Crisis to COVID-19, and Beyond
107. Dynamic interlinkages between the crude oil and gold and stock during Russia-Ukraine War: evidence from an extended TVP-VAR analysis
108. What do we know about the stock markets’ reaction to regulatory announcements regarding financial institutions? Evidence from UK financial institutions
109. U.S. REITs: A Financial Economics Review as of 2018
110. Effect of Corruption on Foreign Direct Investment Inflows in Nigeria
111. International Reserves
112. International Policy Coordination
113. International Monetary Institutions
114. International Finance
115. International Capital Flows
116. German Reunification, Economics Of
117. Foreign Exchange Market Microstructure
118. Foreign Exchange Markets, History of
119. Fixprice Models
120. Financial Liberalization
121. Exchange Rate Exposure
122. European Central Bank
123. Currency Unions
124. Currency Crises
125. Currency Boards
126. Subprime Mortgage Crisis
127. Bretton Woods System
128. Border Effects
129. Purchasing Power Parity
130. Political Economy of Unearned Foreign Income : An Application for Non-oil Producing Muslim States
131. Peso Problem
132. Monetary Approach to the Balance of Payments
133. New Open Economy Macroeconomics
134. Krugman, Paul (1953–)
135. Financing Mechanisms African Governments Should Pursue in Financing Sustainable Development in the Next 20 Years
136. Capital Inflows and Banking in the Turkish Economy
137. Intra-European Union Imbalances and Cyclical Position: Does Monetary Policy Matter?
138. Are They All the Same? Banking and Financial Crises in Debt-Ridden Euroarea Countries
139. Green FinTech: sustainability of Bitcoin
140. Time–frequency return co-movement among asset classes around the COVID-19 outbreak: portfolio implications
141. Global banking and the spillovers from political shocks at the core of the world economy
142. Does insurance sector development improve environmental quality? Evidence from BRICS.
143. Managing the Dollar Over Its Cycles.
144. Determinants of low adoption of Islamic banking in Pakistan
145. Exchange Rate Pass-Through into Import Prices of Croatia
146. An Investigation of the Performance of Islamic and Interest Based Banking Evidence from Pakistan
147. The Performance of African Stock Markets Before and After the Global Financial Crisis
148. Co-movement Among Asian Forex Markets: Evidence from Wavelet Methods
149. On the Role of the Credit Rating Agencies in the Euro Zone Crisis
150. The Global Domain of the Dollar: Eight Questions.
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