698 results on '"Claessens, Stijn"'
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2. Benefits and Costs on Integrated Financial Services Provision in Developing Countries
3. The Future of Stock Exchanges in Emerging Economies: Evolution and Prospects
4. Macroprudential Policies and Global Finance
5. Nonbank Financial Intermediation: Stock Take of Research, Policy, and Data.
6. Financial Stability Governance and Central Bank Communications.
7. Opportunities and challenges associated with the development of FinTech and Central Bank Digital Currency
8. Corporate governance in emerging markets: A selective review and an agenda for future research
9. Foreign banks and trade
10. Regional House Price Differences: Drivers and Risks
11. How Important is the Global Financial Cycle? Evidence from Capital Flows
12. Cryptocurrency market reactions to regulatory news 1
13. Home country interest rates and international investment in U.S. bonds
14. Push factors and capital flows to emerging markets: why knowing your lender matters more than fundamentals
15. Introduction
16. “Low-For-Long” interest rates and banks’ interest margins and profitability: Cross-country evidence
17. The Case for GDP-Indexed Bonds
18. Global liquidity and cross-border bank flows
19. Financial Development, Property Rights, and Growth
20. The Execution of Monetary Policy: A Tale of Two Central Banks
21. Household Stockholding in Europe: Where Do We Stand and Where Do We Go?
22. Policy Selectivity Forgone: Debt and Donor Behavior in Africa
23. Disentangling the Incentive and Entrenchment Effects of Large Shareholdings
24. A European VAT on Financial Services?
25. The use and effectiveness of macroprudential policies: New evidence
26. Competition and Scope of Activities in Financial Services
27. Contagion: Understanding How It Spreads
28. Corporate Performance in the East Asian Financial Crisis
29. Comment on Banking in Transition Economies: Does Efficiency Require Instability
30. Corporate Governance and Equity Prices: Evidence from the Czech and Slovak Republics
31. Climate regulation and financial risk: the challenge of policy uncertainty
32. Estimating the Likelihood of Mexican Default from the Market Prices of Brady Bonds
33. Do Macroprudential Policies Affect Non-bank Financial Intermediation?
34. “Out of Sight, Out of Mind?” Banks’ Private Information, Distance, and Relationship Length
35. Finance and climate change risk: Managing expectations
36. Saving the Euro: Mitigating Financial or Trade Spillovers?
37. Opening Remarks
38. Important Questions for Housing Markets and Housing Policy
39. An Overview of Macroprudential Policy Tools
40. The Impact of the Global Financial Crisis on Banking Globalization
41. International Financial Contagion: An Overview of the Issues and the Book
42. Contagion: Why Crises Spread and How This Can Be Stopped
43. Strategic Investment and Risk Management for Sovereign Wealth Funds
44. Institutions and financial frictions: Estimating with structural restrictions on firm value and investment
45. Foreign Banks: Trends and Impact
46. Location Decisions of Foreign Banks and Competitor Remoteness
47. Asset Prices and Macroeconomic Outcomes: A Survey
48. Macroeconomic Implications of Financial Imperfections: A Survey
49. Theories of Currency and Banking Crises: A Literature Review
50. Policy Selectivity Forgone: Debt and Donor Behaviour in Africa
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