Details about Roland Beck
Access statistics for papers by Roland Beck.
Last updated 2023-02-24. Update your information in the RePEc Author Service.
Short-id: pbe352
Jump to Journal Articles Chapters
Working Papers
2024
- The Geography of Capital Allocation in the Euro Area
NBER Working Papers, National Bureau of Economic Research, Inc View citations (2)
2021
- Globalisation and the efficiency-equity trade-off
Working Paper Series, European Central Bank View citations (1)
2019
- Medium term treatment and side effects of quantitative easing: international evidence
Working Paper Series, European Central Bank View citations (20)
2016
- Determinants of sub-sovereign bond yield spreads: the role of fiscal fundamentals and federal bailout expectations
Working Paper Series, European Central Bank View citations (4)
See also Journal Article Determinants of sub-sovereign bond yield spreads – The role of fiscal fundamentals and federal bailout expectations, Journal of International Money and Finance, Elsevier (2017) View citations (9) (2017)
2015
- The geography of the great rebalancing in euro area bond markets during the sovereign debt crisis
Working Paper Series, European Central Bank View citations (1)
See also Journal Article The geography of the great rebalancing in euro area bond markets during the sovereign debt crisis, Journal of Empirical Finance, Elsevier (2016) View citations (18) (2016)
- The side effects of national financial sector policies: framing the debate on financial protectionism
Occasional Paper Series, European Central Bank View citations (15)
2013
- Non-performing loans: what matters in addition to the economic cycle?
Working Paper Series, European Central Bank View citations (98)
2012
- Financial stability challenges for EU acceding and candidate countries: making financial systems more resilient in a challenging environment
Occasional Paper Series, European Central Bank
2010
- Energy markets and the euro area macroeconomy
Occasional Paper Series, European Central Bank View citations (2)
- Should larger reserve holdings be more diversified?
Working Paper Series, European Central Bank View citations (6)
See also Journal Article Should Larger Reserve Holdings Be More Diversified?, International Finance, Wiley Blackwell (2011) View citations (17) (2011)
2009
- Petrodollars and imports of oil exporting countries
Working Paper Series, European Central Bank View citations (1)
- Towards a Flexible Exchange Rate Policy in Russia
OECD Economics Department Working Papers, OECD Publishing View citations (5)
2008
- Optimal reserve composition in the presence of sudden stops: the euro and the dollar as safe haven currencies
Working Paper Series, European Central Bank View citations (18)
- The impact of sovereign wealth funds on global financial markets
Occasional Paper Series, European Central Bank View citations (95)
See also Journal Article The impact of sovereign wealth funds on global financial markets, Intereconomics: Review of European Economic Policy, Springer (2008) View citations (84) (2008)
2007
- Long-term growth prospects for the Russian economy
Occasional Paper Series, European Central Bank View citations (61)
2006
- Macroeconomic and financial stability challenges for acceding and candidate countries
Occasional Paper Series, European Central Bank
2001
- Do country fundamentals explain emerging market bond spreads?
CFS Working Paper Series, Center for Financial Studies (CFS) View citations (36)
2000
- The volatility of capital flows to emerging markets and financial services trade
CFS Working Paper Series, Center for Financial Studies (CFS) View citations (1)
Journal Articles
2017
- Determinants of sub-sovereign bond yield spreads – The role of fiscal fundamentals and federal bailout expectations
Journal of International Money and Finance, 2017, 79, (C), 72-98 View citations (9)
See also Working Paper Determinants of sub-sovereign bond yield spreads: the role of fiscal fundamentals and federal bailout expectations, Working Paper Series (2016) View citations (4) (2016)
2016
- The geography of the great rebalancing in euro area bond markets during the sovereign debt crisis
Journal of Empirical Finance, 2016, 38, (PA), 449-460 View citations (18)
See also Working Paper The geography of the great rebalancing in euro area bond markets during the sovereign debt crisis, Working Paper Series (2015) View citations (1) (2015)
2015
- Key Determinants of Non-performing Loans: New Evidence from a Global Sample
Open Economies Review, 2015, 26, (3), 525-550 View citations (104)
2014
- The finance and growth nexus revisited
Economics Letters, 2014, 124, (3), 382-385 View citations (84)
2011
- Optimal reserve composition in the presence of sudden stops
Journal of International Money and Finance, 2011, 30, (6), 1107-1127 View citations (30)
- Should Larger Reserve Holdings Be More Diversified?
International Finance, 2011, 14, (3), 415-444 View citations (17)
See also Working Paper Should larger reserve holdings be more diversified?, Working Paper Series (2010) View citations (6) (2010)
2008
- The impact of sovereign wealth funds on global financial markets
Intereconomics: Review of European Economic Policy, 2008, 43, (6), 349-358 View citations (84)
See also Working Paper The impact of sovereign wealth funds on global financial markets, Occasional Paper Series (2008) View citations (95) (2008)
Chapters
2010
- Foreign Exchange Reserves and Sovereign Wealth Funds: Will They Change the Global Financial Landscape?
Palgrave Macmillan
|
The links between different versions of a paper are constructed automatically by matching on the titles.
Please contact if a link is incorrect.
Use this form
to add links between versions where the titles do not match.
|