368 results on '"Lane, Philip R."'
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2. The Resilience of the Euro
3. Macrofinancial Stability and the Euro
4. THE EURO AREA HIKING CYCLE: AN INTERIM ASSESSMENT: DOW LECTURE BY PHILIP R. LANE, MEMBER OF THE EXECUTIVE BOARD OF THE ECB, AT THE NATIONAL INSTITUTE OF ECONOMIC AND SOCIAL RESEARCH, LONDON, 16 FEBRUARY 2023
5. Can appreciation be expansionary? Evidence from the euro area
6. The External Wealth of Nations Revisited : International Financial Integration in the Aftermath of the Global Financial Crisis
7. Europe and Global Imbalances
8. Exchange Rates and Monetary Policy in Emerging Market Economies
9. Obstacles to Disinflation: What Is the Role of Fiscal Expectations?
10. Not Only Nokia: What Finland Tells Us about "New Economy" Growth
11. Fiscal Policy and Monetary Integration in Europe
12. Divergent Inflation Rates in EMU
13. Regulation, Productivity and Growth: OECD Evidence
14. International Financial Integration
15. Delocation and European Integration: Is Structural Spending Justified?
16. International Trade and Economic Convergence: The Credit Channel
17. Long-Term Capital Movements
18. Asymmetric Shocks and Monetary Policy in a Currency Union
19. The Voracity Effect
20. What Determines the Nominal Exchange Rate? Some Cross-Sectional Evidence
21. The holders and issuers of international portfolio securities
22. The Sovereign-Bank Diabolic Loop and ESBies
23. A FINANCIAL PERSPECTIVE ON THE UK CURRENT ACCOUNT DEFICIT
24. Reflections on Capital Flows in the Euro Area
25. International currency exposures, valuation effects and the global financial crisis
26. International Differences in Fiscal Outcomes during the Global Crisis
27. Domestic Credit Growth and International Capital Flows
28. Cross-Country Exposures to the Swiss Franc
29. Fiscal Policy and Financial Distress: A Balance Sheet Perspective
30. National/International Levels of Government: Rationale and Issues
31. The Euro and Financial Integration
32. Fiscal cyclicality and EMU
33. Bilateral portfolio dynamics during the global financial crisis
34. CREDIT DYNAMICS AND FINANCIAL GLOBALISATION
35. External adjustment and the global crisis
36. The European Sovereign Debt Crisis
37. La stratégie de politique monétaire de la Banque centrale européenne
38. Macro‐Financial Stability Under EMU
39. The Cross-Country Incidence of the Global Crisis
40. Financial Exchange Rates and International Currency Exposures
41. Comment
42. The Composition of Government Spending and the Real Exchange Rate
43. International Investment Patterns
44. The Drivers of Financial Globalization
45. The Shifting Composition of External Liabilities
46. Financial Integration within E.U. Countries: The Role of Institutions, Confidence, and Trust
47. The Real Effects of European Monetary Union
48. The Transfer Problem Revisited: Net Foreign Assets and Real Exchange Rates
49. The long or short of it: Determinants of foreign currency exposure in external balance sheets
50. Do International Investment Income Flows Smooth Income?
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