348 results on '"Spiegel, Mark M."'
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2. Capital flows and income inequality
3. Fiscal capacity and commercial bank lending under COVID-19
4. Central bank credibility during COVID-19: Evidence from Japan
5. Small business lending under the PPP and PPPLF programs
6. Home currency issuance in international bond markets
7. Monetary reforms and inflation expectations in Japan: Evidence from inflation-indexed bonds
8. 2021 Asia economic policy conference: Macroeconomic policy and global economic recovery conference summary
9. Competitive Effects of IPOs: Evidence from Chinese Listing Suspensions.
10. Monetary policy spillovers under COVID-19: Evidence from lending by U.S. foreign bank subsidiaries
11. Reprint: Is China fudging its GDP figures? Evidence from trading partner data
12. Is China fudging its GDP figures? Evidence from trading partner data
13. Optimal capital account liberalization in China
14. Why have negative nominal interest rates had such a small effect on bank performance? Cross country evidence
15. Home currency issuance in international bond markets
16. Reserve requirements and optimal Chinese stabilization policy
17. Corrigendum to “Capital flows and income inequality” [Journal of International Economics 144 (2023) 103776]
18. SENTIMENTS AND ECONOMIC ACTIVITY : EVIDENCE FROM US STATES
19. Offshore Financial Centres: Parasites or Symbionts?
20. Measuring the effects of dollar appreciation on Asia: A FAVAR approach
21. Capital controls and optimal Chinese monetary policy
22. Monetary policy effectiveness in China: Evidence from a FAVAR model
23. Optimal Monetary Policy and Capital Account Restrictions in a Small Open Economy
24. Foreign Entry into Underwriting Services: Evidence from Japan's "Big Bang" Deregulation
25. Dollar illiquidity and central bank swap arrangements during the global financial crisis
26. Currency composition of international bonds: The EMU effect
27. Cross-country causes and consequences of the 2008 crisis: Early warning
28. THE OLYMPIC EFFECT
29. Moderate Inflation and the Deflation: Depression Link
30. Noneconomic Engagement and International Exchange: The Case of Environmental Treaties
31. Financial Globalization and Monetary Policy Discipline: A Survey with New Evidence from Financial Remoteness
32. Cross-country causes and consequences of the crisis: An update
33. A Gravity Model of Sovereign Lending: Trade, Default, and Credit
34. Fiscal Stimulus and Commercial Bank Lending Under Covid-19
35. Capital Flows and Income Inequality
36. 2019 Asia Economic Policy Conference, ‘‘Monetary Policy under Global Uncertainty”: Summary
37. The Role of Financial Development in Growth and Investment
38. Monetary and financial integration: Evidence from the EMU
39. International financial remoteness and macroeconomic volatility
40. Concerted Lending: Did Large Banks Bear the Burden?
41. What's Up with Inflation Expectations in Japan?
42. Inequality and Stability
43. Monetary union expansion: The role of market power in trade
44. Solvency runs, sunspot runs, and international bailouts
45. Financial Turbulence and the Japanese Main Bank Relationship
46. Developing Asian Local Currency Bond Markets: Why and How?
47. Sterilization costs and exchange rate targeting
48. The evolution of bank resolution policies in Japan: evidence from market equity values
49. Bond Currency Denomination and the Yen Carry Trade
50. Quantitative easing and Japanese bank equity values
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