The high-yield segment of the | | corporate bond market: a diffusion modelling approach for the United States, the United Kingdom and the euro area, by Gabe de Bondt and David Marqués (European Central Bank Working papers 313) | Full text |
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| | | Corporate Bond Spreads and the Business Cycle, by Zhang, Zhiwei (Bank of Canada Working papers 2002-15) | Abstract Full text |
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| Credit spreads on sterling | | corporate bonds and the term structure of UK interest rates, by Jeremy Leake (Bank of England Working papers 202) | Abstract Full text |
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| | | Corporate capital structure in the United Kingdom: determinants and adjustment, by Philip Bunn and Garry Young (Bank of England Working papers 226) | Abstract Full text |
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| Market timing and | | corporate capital structure - A transatlantic comparison, by Allard Bruinshoofd and Leo de Haan (Netherlands Bank DNB Working Papers 144) | Full text |
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| A Survey of Blockholders and | | Corporate Control, by Clifford G. Holderness (New York Fed Economic policy review 0304hold) | Abstract Full text |
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| Systematic Risk in Recovery Rates - An empirical Analysis of US | | Corporate Credit Exposures, by Klaus Düllmann, Monika Trapp (Deutsche Bundesbank Banking Supervision Discussion Papers 200402) | Full text |
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| Empirical Analysis of | | Corporate Credit Lines, by Jimenez, Lopez, Saurina (San Francisco Fed Working Papers 2007-14) | Full text |
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| Empirical analysis of | | corporate credit lines (836 KB), by Gabriel Jiménez, José A. López and Jesús Saurina (Bank of Spain Working Papers 0821) | Abstract Full text |
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| Capital Charges under Basel II: | | Corporate Credit Risk Modelling and the Macro Economy, by Kenneth Carling, Tor Jacobson , Jesper Lindé and Kasper Roszbach (Sveriges Riksbank Working Papers No142) | Abstract Full text |
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| | | Corporate Culture of Central Banks: Lessons from the Past, by (DNB) (Netherlands Bank DNB Working Papers 006) | Full text |
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| | | Corporate debt and financial balance sheet adjustment: a comparison of the United States, the United Kingdom, France and Germany, by Peter Gibbard and Ibrahim Stevens (Bank of England Working papers 317) | Abstract Full text |
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| Euro area | | corporate debt securities market: first empirical evidence, by Gabe de Bondt (European Central Bank Working papers No.164) | Full text |
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| Has the Credit Derivative Swap MarketLowered the Cost of | | Corporate Debt?, by Adam B. Ashcraft and Joăo A. C. Santos (New York Fed Staff reports 290) | Abstract Full text |
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| | | Corporate Dollar Debt and Depreciations: Much Ado About Nothing?, by Hoyt Bleakley and Kevin Cowan (Boston Fed Working papers 02-05) | Abstract Full text |
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| The cost of barriers to entry: evidence from the market for | | corporate euro bond underwriting, by Joăo A C Santos and Kostas Tsatsaronis (Bank for International Settlements Working papers 134) | Abstract Full text |
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| Credit fundamentals, ratings and value-at-risk: CDOs versus | | corporate exposures, by Ingo Fender, Nikola Tarashev and Haibin Zhu (Bank for International Settlements Quarterly Review 0803i) | Abstract
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| Stress Testing and | | Corporate Finance, by Olivier de Bandt, Catherine Bruneau and Widad El Amri (Bank of France Working Papers Nr 203) | Abstract Full text |
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| Banks' equity stakes in borrowing firms: A | | corporate finance approach, by Jukka Vauhkonen (Bank of Finland Discussion Papers 2003/13) | Abstract Full text |
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| | | Corporate finance in the euro area - including background material, by Task Force of the Monetary Policy Committee of the ESCB (European Central Bank Occasional papers 63) | Full text |
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| Macroeconomic Fluctuations and | | Corporate Financial Fragility, by Catherine Bruneau, Olivier de Bandt and Widad El Amri (Bank of France Working Papers Nr 226) | Abstract Full text |
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| | | Corporate financial restructuring in Asia: implications for financial stability, by Michael Pomerleano (Bank for International Settlements Quarterly Review 0709i) | Abstract Full text |
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| Review of Literature & Empirical Research on | | Corporate Governance, by Pei Sai Fan (Monetary Authority of Singapore Staff Papers No. 29) | Abstract Full text |
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| Financial infrastructure and | | corporate governance, by Helen Allen, Grigoria Christodoulou and Stephen Millard (Bank of England Working papers 316) | Abstract Full text |
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| Transparency, Financial Accounting Information, and | | Corporate Governance, by Robert M. Bushman and Abbie J. Smith (New York Fed Economic policy review 0304bush) | Abstract Full text |
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| Issues in | | Corporate Governance, by William J. McDonough (New York Fed Current issues ci08-08) | Abstract Full text |
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| Target's | | Corporate Governance and Bank Merger Payoff, by Elijah Brewer III, William E. Jackson III, and Julapa A. Jagtiani (Kansas City Fed Working Papers RWP07-13) | Abstract Full text |
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| Review of Literature & Empirical Research: Is Board Diversity Important for | | Corporate Governance and Firm Value?, by Pei Sai Fan (Monetary Authority of Singapore Staff Papers No. 35) | Abstract Full text |
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| | | Corporate Governance and the Shareholder Base, by Karl V. Lins; Francis E. Warnock (Federal Reserve Board International Financial Discussion Papers 2004-816) | Abstract Full text |
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| Is | | Corporate Governance Different for Bank Holding Companies?, by Renée Adams and Hamid Mehran (New York Fed Economic policy review 0304adam) | Abstract Full text |
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| | | Corporate Governance in Chile, by Manuel R. Agosin, Ernesto Pastén H. (Central Bank of Chile Working Papers 209) | Abstract Full text |
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| The | | Corporate Governance of Banks, by Jonathan R. Macey and Maureen O'Hara (New York Fed Economic policy review 0304mace) | Abstract Full text |
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| Cross listing and firm value - | | corporate governance or market segmentation? An empirical study of the stock market, by Gang Ji (Bank of Finland BOFIT Discussion Papers 2005/14) | Abstract Full text |
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| Currency Hedging and | | Corporate Governance: A Cross-country Analysis, by Ugur Lel (Federal Reserve Board International Financial Discussion Papers 2006-858) | Abstract Full text |
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| Optimization in Production of | | Corporate Governance: Evidence from Auditor Independence and Implications for Public Policy, by Dino Falaschetti and Michael J. Orlando (Kansas City Fed Working Papers RWP03-13) | Abstract Full text |
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| | | Corporate Hedging, Investment and Value, by Jose M. Berrospide, Amiyatosh Purnanandam, and Uday Rajan (Federal Reserve Board FEDS series 2008-22) | Abstract Full text |
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| | | Corporate Hedging, Investment and Value, by Jose M. Berrospide, Amiyatosh Purnanandam, and Uday Rajan (Federal Reserve Board FEDS series 2008-16) | Abstract
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| | | Corporate hedging: the impact of financial derivatives on the broad credit channel of monetary policy, by Ingo Fender (Bank for International Settlements Working papers 094) | Abstract Full text |
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| Entrepreneurial Risk, Credit Constraints, and the | | Corporate Income Tax: A Quantitative Exploration, by Meh, Césaire Assah (Bank of Canada Working papers 2002-21) | Abstract Full text |
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| | | Corporate investment and cash flow sensitivity: what drives the relationship?, by Paul Mizen and Philip Vermeulen (European Central Bank Working papers 485) | Full text |
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| Financial Constraints, the User Cost of Capital and | | Corporate Investment in Australia, by Gianni La Cava (Reserve Bank of Australia Research Discussion Papers RDP2005-12) | Abstract Full text |
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| Estimation of a Dynamic Panel Data: The Case Of | | Corporate Investment in Chile, by Rodrigo Alfaro (Central Bank of Chile Working Papers 467) | Abstract Full text |
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| 'Captive Markets': The Impact of Kidnappings on | | Corporate Investment in Colombia, by Rony Pshisva and Gustavo A. Suarez (Federal Reserve Board FEDS series 2006-18) | Abstract Full text |
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| A Microdata Analysis of Recent | | Corporate Investment in Korea, by Kiseok Hong (The Bank of Korea Economic Papers 81) | Abstract Full text |
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| Do Stock Price Bubbles Influence | | Corporate Investment?, by Simon Gilchrist, Charles P. Himmelberg, and Gur Huberman (New York Fed Staff reports 177) | Abstract Full text |
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| Non-Linear Target Adjustment in | | Corporate Liquidity Mmanagement: An Endogenous Thresholds Approach, by W. Allard Bruinshoofd and Clemens J. M. Kool (Netherlands Bank DNB Working Papers 087) | Full text |
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| Is The | | Corporate Loan Market Globally Integrated? A Pricing Puzzle, by Mark Carey; Gregory P. Nini (Federal Reserve Board International Financial Discussion Papers 2004-813) | Abstract Full text |
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| Stress Testing the | | Corporate Loans Portfolio of the Canadian Banking Sector, by Miroslav Misina, David Tessier, and Shubhasis Dey (Bank of Canada Working papers 2006-47) | Abstract Full text |
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| | | Corporate marginal tax rate, tax loss carryforwards and investment functions â?? empirical analysis using a large German panel data set, by Fred Ramb (Deutsche Bundesbank Discussion Papers 200721) | Full text |
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| How Did the 2003 Dividend Tax Cut Affect Stock Prices and | | Corporate Payout Policy?, by Gene Amromin, Paul Harrison, Nellie Liang, and Steve Sharpe (Federal Reserve Board FEDS series 2005-57) | Abstract Full text |
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| | | Corporate Performance, Board Structure, and Their Determinants in the Banking Industry, by Renée B. Adams and Hamid Mehran (New York Fed Staff reports 330) | Abstract Full text |
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| Recent Revisions to | | Corporate Profits: What We Know and When We Knew It, by Charles P. Himmelberg, James M. Mahoney, April Bang, and Brian Chernoff (New York Fed Current issues ci10-03) | Abstract Full text |
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| | | Corporate Response to Distress: Evidence from the Asian Financial Crisis, by Mara Faccio, and Rajdeep Sengupta (St Louis Fed Working Papers 2006-044) | Full text |
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| The impact of | | corporate risk management on monetary policy transmission: some empirical evidence, by Ingo Fender (Bank for International Settlements Working papers 095) | Abstract Full text |
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| A Failure-Rate Model for the Danish | | Corporate Sector, by Lykke, Morten; Pedersen, Kenneth Juhl; Vinther, Heidi Mřlgaard (Danmarks Nationalbank Working papers WP16/2004) | Abstract Full text |
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| A Structural Approach to Assessing the Credit Risk of Hong Kong's | | Corporate Sector, by Ip-wing Yu and Laurence Fung (Hong Kong Monetary Authority Working Papers RM2005-24) | Full text |
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| A quantitative framework for commercial property and its relationship to the analysis of the financial stability of the | | corporate sector, by John Whitley and Richard Windram (Bank of England Working papers 207) | Abstract Full text |
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| | | Corporate Self-financing and Growth., by Ricardo Bebczuk, Lorena Garegnani (Central Bank of Argentina Working Papers 2006/08) | Full text |
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| | | Corporate Social Responsibility and Shareholder's Value: An Event Study Analysis, by Leonardo Becchetti, Rocco Ciciretti, and Iftekhar Hasan (Atlanta Fed Working papers 2007-06) | Abstract Full text |
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| The Price of | | Corporate Social Responsibility: The Case of Black Economic Empowerment Transactions in South Africa, by William E. Jackson III, Todd M. Alessandri, and Sylvia Sloan Black (Atlanta Fed Working papers 2005-29) | Abstract Full text |
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| Macroeconomic Determinants of the Term Structure of | | Corporate Spreads, by Jun Yang (Bank of Canada Working papers 2008-29) | Abstract Full text |
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| How would formula apportionment in the EU affect the distribution and the size of the | | corporate tax base? - An analysis based on German multinationals, by Clemens Füst, Thomas Hemmelgarn, Fred Ramb (Deutsche Bundesbank Discussion Papers 200620) | Full text |
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| | | Corporate tax competition and the decline of public investment, by Pedro Gomes and Francois Pouget (European Central Bank Working papers 928) | Full text |
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| Capital Mobility, Agglomeration and | | Corporate Tax Rates: Is the Race to the Bottom for Real?, by Harry Garretsen and Jolanda Peeters (Netherlands Bank DNB Working Papers 113) | Full text |
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| Defined benefit company pensions and | | corporate valuations: simulation and empirical evidence from the United Kingdom, by Kamakshya Trivedi and Garry Young (Bank of England Working papers 289) | Abstract Full text |
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| Insolvency or Liquidity Squeeze? Explaining Very Short-Term | | Corporate Yield Spreads, by Dan Covitz and Chris Downing (Federal Reserve Board FEDS series 2002-45) | Abstract Full text |
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| Effects of Liquidity on the Nondefault Component of | | Corporate Yield Spreads: Evidence from Intraday Transactions Data, by Song Han and Hao Zhou (Federal Reserve Board FEDS series 2008-40) | Abstract Full text |
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| | | Corporate "excesses" and financial market dynamics, by Angela Maddaloni and Darren Pain (European Central Bank Occasional papers 17) | Full text |
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| Are | | Corporates' Target Leverage Ratios Time-Dependent?, by Cho-hoi Hui (Hong Kong Monetary Authority Working Papers RM2005-03) | Full text |
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| The | | Corporation As A Tax Shelter: Evidence From Recent Israeli Tax Changes, by Romanov Dmitri (Bank of Israel Research - Discussion Papers dp0417) | Abstract Full text |
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| The Growth and Distributive Effects of | | Corporation Tax: A Computable General Equilibrium Approach, by Young Jun Chun (The Bank of Korea Economic Papers 33) | Abstract Full text |
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| Currency Mismatches, Balance Sheet Effects and Hedging in Chilean non-Financial | | Corporations , by Kevin Cowan, Erwin Hansen, Luis Oscar Herrera (Central Bank of Chile Working Papers 346) | Abstract Full text |
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| An Analysis Of The Financial Health Of Hong Kong | | Corporations , by Ip-wing Yu, Fanny Ho, Eve Law and Laurence Fung (Hong Kong Monetary Authority Working Papers RM2003-17) | Full text |
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| China's asset management | | corporations , by Guonan Ma and Ben S C Fung (Bank for International Settlements Working papers 115) | Abstract Full text |
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| The impact of financial position on investment: an analysis for non-financial | | corporations in the euro area (680 KB), by Carmen Martínez-Carrascal and Annalisa Ferrando (Bank of Spain Working Papers 0820) | Abstract Full text |
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| The impact of financial position on investment: an anlysis for non-financial | | corporations in the euro area., by Carmen Martinez-Carrascal and Annalisa Ferrando (European Central Bank Working papers 943) | Full text |
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| Knowledge Spillover Effects from Multinational | | Corporations in the Korean Information Technology Industries, by Gwanghoon Lee (The Bank of Korea Economic Papers 60) | Abstract Full text |
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| Improving Business Payments by Asking What | | Corporations Really Want, by Sandy Krieger and Michele Braun (New York Fed Current issues ci11-05) | Abstract Full text |
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| The Contribution of Multinational | | Corporations to U.S. Productivity Growth, 1977-2000, by Carol Corrado, Paul Lengermann, and Larry Slifman (Federal Reserve Board FEDS series 2007-21) | Abstract Full text |
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Information Acquisition in Financial Markets: a | | Correction , by Gadi Barlevy, Pietro Veronesi (Chicago Fed Working papers WP-2007-06) | Abstract Full text |
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| Does Monetary Policy Affect Stock Prices and Treasury Yields? An Error | | Correction and Simultaneous Equation Approach, by J. Benson Durham (Federal Reserve Board FEDS series 2003-10) | Abstract Full text |
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| Monetary policy transmission mechanisms and currency unions: A vector error | | correction approach to a Trans-Tasman currency union, by Alfred A Haug, Özer Karagedikli and Satish Ranchhod (Reserve Bank of New Zealand Discussion Papers DP2003/04) | Abstract Full text |
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| How good is the BankScope database? A cross-validation exercise with | | correction factors for market concentration measures, by Kaushik Bhattacharya (Bank for International Settlements Working papers 133) | Abstract Full text |
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| Modelling Mortgage Rate Changes with a Smooth Transition Error- | | Correction Model, by Liu, Ying (Bank of Canada Working papers 2001-23) | Abstract Full text |
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| Estimation of Korean Monthly GDP with Mixed-Frequency Data using an Unobserved Component Error | | Correction Model, by by (The Bank of Korea Economic Papers 99) | Abstract Full text |
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| A Structural Error- | | Correction Model of Best Prices and Depths in the Foreign Exchange Limit Order Market, by Ingrid Lo and Stephen G. Sapp (Bank of Canada Working papers 2006-08) | Abstract Full text |
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| Analysis of Panel Vector Error | | Correction Models Using Maximum Likelihood, the Bootstrap, and Canonical-Correlation Estimators, by Richard G. Anderson, Hailong Qian, and Robert H. Rasche (St Louis Fed Working Papers 2006-050) | Full text |
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| Should we Distinguish Between Static and Dynamic Long Run Equilibrium in Error | | Correction Models?, by Susana Botas, Carlos Robalo Marques (Bank of Portugal Working papers 2002-02) | Abstract Full text |
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| On Current Account Surpluses and the | | Correction of Global Imbalances, by Sebastián Edwards (Central Bank of Chile Working Papers 440) | Abstract Full text |
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| Forbearance and prompt | | corrective action, by Narayana Kocherlakota and Ilhyock Shim (Bank for International Settlements Working papers 177) | Abstract Full text |
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| Multiple safety net regulators and agency problems in the EU: is Prompt | | Corrective Action a partial solution?, by David G Mayes – María J Nieto – Larry Wall (Bank of Finland Discussion Papers 2007/07) | Abstract Full text |
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| Dynamic prudential regulation: Is prompt | | corrective action optimal?, by Ilhyock Shim (Bank for International Settlements Working papers 206) | Abstract Full text |
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| Multiple safety net regulators and agency problems in the EU: Is Prompt | | Corrective Action partly the solution? (578 KB), by David G. Mayes, María J. Nieto and Larry Wall (Bank of Spain Working Papers 0819) | Abstract Full text |
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| Multiple Safety Net Regulators and Agency Problems in the European Union: Is Prompt | | Corrective Action Partly the Solution?, by David G. Mayes, María J. Nieto, and Larry Wall (Atlanta Fed Working papers 2007-09) | Abstract Full text |
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| Preconditions for a successful implementation of supervisors' Prompt | | Corrective Action: Is there a case for a banking standard in the EU, by María J. Nieto and Larry D. Wall (Bank of Spain Working Papers 0702) | Abstract Full text |
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| Preconditions for a Successful Implementation of Supervisors' Prompt | | Corrective Action: Is There a Case for a Banking Standard in the European Union?, by María J. Nieto and Larry D. Wall (Atlanta Fed Working papers 2006-27) | Abstract Full text |
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| Subordinated Debt and Prompt | | Corrective Regulatory Action, by Douglas D. Evanoff and Larry D. Wall (Atlanta Fed Working papers 2002-18) | Abstract Full text |
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| Subordinated Debt and Prompt | | Corrective Regulatory Action, by Douglas D. Evanoff , Larry Wall (Chicago Fed Working papers WP-2003-03) | Abstract Full text |
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The pricing of | | correlated default risk: evidence from the credit derivatives market, by Nikola Tarashev, Haibin Zhu (Deutsche Bundesbank Banking Supervision Discussion Papers 200809) | Full text |
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| Systemic bank risk in Brazil: an assessment of | | correlated market, credit, sovereign and inter-bank risk in an environment with stochastic volatilities and correlations, by Theodore M. Barnhill, Jr., Marcos Rietti Souto (Deutsche Bundesbank Banking Supervision Discussion Papers 200813) | Full text |
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| | | Correlated Trading and Returns, by Daniel Dorn, Gur Huberman and Paul Sengmueller (Netherlands Bank DNB Working Papers 072) | Full text |
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| Joint Validation of Credit Rating PDs under Default | | Correlation , by Ricardo Schechtman (Central Bank of Brazil Working Papers 149) | Abstract Full text |
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| China in the world economy: Dynamic | | correlation analysis of business cycles, by Jarko Fidrmuc, Iikka Korhonen and Ivana Bátorová (Bank of Finland BOFIT Discussion Papers 2008/07) | Abstract Full text |
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| Interaction of market and credit risk:an analysis of inter-risk | | correlation and risk aggregation, by Klaus Böcker, Martin Hillebrand (Deutsche Bundesbank Banking Supervision Discussion Papers 200811) | Full text |
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| Time-Varying Consumption | | Correlation and the Dynamics of the Equity Premium: Evidence from the G-7 Countries, by Asani Sarkar and Lingjia Zhang (New York Fed Staff reports 181) | Abstract Full text |
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| A meta-analysis of business cycle | | correlation between the euro area and CEECs: What do we know - and who cares?, by Jarko Fidrmuc, Iikka Korhonen (Bank of Finland BOFIT Discussion Papers 2004/20) | Abstract Full text |
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| Analysis of Panel Vector Error Correction Models Using Maximum Likelihood, the Bootstrap, and Canonical- | | Correlation Estimators, by Richard G. Anderson, Hailong Qian, and Robert H. Rasche (St Louis Fed Working Papers 2006-050) | Full text |
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| Empirical Analysis of the Average Asset | | Correlation for Real Estate Investment Trusts, by Lopez (San Francisco Fed Working Papers 2005-22) | Full text |
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| Foreign exchange option and returns based | | correlation forecasts: evaluation and two applications, by Olli Castrén and Stefano Mazzotta (European Central Bank Working papers 447) | Full text |
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| The Growing Importance of Family and Community: An Analysis of Changes in the Sibling | | Correlation in Earnings, by David I. Levine , Bhashkar Mazumder (Chicago Fed Working papers WP-2003-24) | Abstract Full text |
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| Regional Disparities in the Spatial | | Correlation of State Income Growth, by Thomas A. Garrett, Gary A. Wagner, and David C. Wheelock (St Louis Fed Working Papers 2005-061) | Full text |
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| By Force of Demand: Explaining International Comovements and the Saving-Investment | | Correlation Puzzle, by Yi Wen (St Louis Fed Working Papers 2005-043) | Full text |
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| Understanding OECD Output | | Correlations , by Glenn Otto, Graham Voss, Luke Willard (Reserve Bank of Australia Research Discussion Papers RDP2001-05) | Abstract Full text |
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| Systemic bank risk in Brazil: an assessment of correlated market, credit, sovereign and inter-bank risk in an environment with stochastic volatilities and | | correlations , by Theodore M. Barnhill, Jr., Marcos Rietti Souto (Deutsche Bundesbank Banking Supervision Discussion Papers 200813) | Full text |
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| CDS index tranches and the pricing of credit risk | | correlations , by Jeffery D Amato and Jacob Gyntelberg (Bank for International Settlements Quarterly Review 0503g) | Abstract Full text |
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| Basel II and the Risk Management of Basket Options with Time-Varying | | Correlations , by by Amy S. K. Wong (IJCB International Journal of Central Banking 06q4a1) | Abstract Full text |
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| Estimating asset | | correlations from stock prices or default rates - which method is superior?, by Klaus Düllmann, Jonathan Küll, Michael Kunisch (Deutsche Bundesbank Banking Supervision Discussion Papers 200804) | Full text |
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| Can fundamentals explain cross-country | | correlations of asset returns?, by Fernando Restoy and Rosa Rodríguez (Bank of Spain Working Papers 0540) | Abstract Full text |
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| Asymmetric dynamics in the | | correlations of global equity and bond returns, by Lorenzo Cappiello (European Central Bank Working papers No.204) | Full text |
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| Imports-Exports | | correlation: A new puzzle?, by Ricardo Bebczuk (Central Bank of Argentina Working Papers 2008/33) | Full text |
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Monetary Policy Implementation Without Averaging or Rate | | Corridors , by William Whitesell (Federal Reserve Board FEDS series 2006-22) | Abstract Full text |
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How | | corruption affects bank lending in Russia, by Laurent Weill (Bank of Finland BOFIT Discussion Papers 2008/18) | Abstract Full text |
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| Is | | corruption an efficient grease?, by Pierre-Guillaume Méon and Laurent Weill (Bank of Finland BOFIT Discussion Papers 2008/20) | Abstract Full text |
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| Pocket Banks and Out-of-Pocket Losses: Links between | | Corruption and Contagion, by Raphael H. Solomon (Bank of Canada Working papers 2005-23) | Abstract Full text |
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| | | Corruption and Trade Protection: Evidence from Panel Data, by Subhayu Bandyopadhyay, and Suryadipta Roy (St Louis Fed Working Papers 2007-022) | Full text |
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| | | Corruption, Credit Market Imperfections, and Economic Development, by António R. Antunes, Tiago V. de V. Cavalcanti (Bank of Portugal Working papers 2003-17) | Abstract Full text |
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| Regulatory bottlenecks, transaction costs and | | corruption: A cross-country investigation, by Rajeev K. Goel (Bank of Finland BOFIT Discussion Papers 2008/10) | Abstract Full text |
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| Causes of | | Corruption:History, Geography, and Government, by Rajeev K. Goel and Michael A. Nelson (Bank of Finland BOFIT Discussion Papers 2008/06) | Abstract Full text |
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Perú: Grado de inversión, un reto de | | corto plazo, by Gladys Choy (Central Reserve Bank of Peru Working Papers 2007-001) | Abstract Full text |
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Public good issues in TARGET: natural monopoly, scale economices, network effects and | | cost allocation, by Wilko Bolt and David Humphrey (European Central Bank Working papers 505) | Full text |
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| no 036- Public Good Aspects of TARGET: Natural Monopoly, Scale Economies, and | | Cost Allocation, by (DNB) (Netherlands Bank DNB Working Papers 036) | Full text |
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| Labour | | cost and employment across euro area countries and sectors, by Beatrice Pierluigi and Moreno Roma (European Central Bank Working papers 912) | Full text |
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| Investment Behavior, User | | Cost and Monetary Policy Transmission - the Case of Hungary, by Gábor Kátay - Zoltán Wolf (Magyar Nemzeti Bank Working papers 2004/12) | Abstract Full text |
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| Search | | cost and price dispersion in vertically related markets: the case of bank loans and deposits (575 KB), by Alfredo Martín-Oliver, Vicente Salas-Fumás and Jesús Saurina (Bank of Spain Working Papers 0825) | Abstract Full text |
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| Optimal monetary policy in a hybrid New Keynesian model with a | | cost channel, by Mikael Bask (Bank of Finland Discussion Papers 2007/24) | Abstract Full text |
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| Learning about Monetary Policy Rules when the | | Cost Channel Matters, by Vicente Tuesta (Central Reserve Bank of Peru Working Papers 2007-014) | Abstract Full text |
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| Financial Systems and the | | Cost Channel Transmission of Monetary Policy Shocks, by Sylvia Kaufmann and Johann Scharler (Austrian National Bank Working Papers WP116) | Abstract Full text |
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| Inflation Dynamics and the | | Cost Channel: An Application for Chile, by David Coble (Central Bank of Chile Working Papers 431) | Abstract Full text |
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| The effects of low- | | cost countries on Portuguese manufacturing import prices, by Fátima Cardoso, Paulo Soares Esteves (Bank of Portugal Working papers 2008-04) | Abstract Full text |
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| Wage diversity in the euro area - an overview of labour | | cost differentials across industries, by Véronique Genre, Daphne Momferatou and Gilles Mourre (European Central Bank Occasional papers 24) | Full text |
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| Relationship lending and competition: Higher switching | | cost does not necessarily imply greater relationship benefits, by Timo Vesala (Bank of Finland Discussion Papers 2005/03) | Abstract Full text |
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| | | Cost effectiveness of R&D and strategic trade policy, by Praveen Kujal and Juan Ruiz (Bank of Spain Working Papers 0701) | Abstract Full text |
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