Details about Ali M. Kutan
Access statistics for papers by Ali M. Kutan.
Last updated 2024-04-05. Update your information in the RePEc Author Service.
Short-id: pku30
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Working Papers
2021
- COVID-19 pandemic and firm-level dynamics in the USA, UK, Europe, and Japan
LSE Research Online Documents on Economics, London School of Economics and Political Science, LSE Library 
See also Journal Article COVID-19 Pandemic and firm-level dynamics in the USA, UK, Europe, and Japan, International Review of Financial Analysis, Elsevier (2021) View citations (3) (2021)
2020
- Does bilateral investment treaty arbitration have any value for multinational corporations?
BOFIT Discussion Papers, Bank of Finland Institute for Emerging Economies (BOFIT)
2019
- Evolution of the impact of the interest rates changes announced by Narodowy Bank Polski (NBP) on the financial markets in the high, medium and low level of interest rates environments in Poland
NBP Working Papers, Narodowy Bank Polski
2018
- How Effective are Stock Market Reforms in Emerging Market Economies? Evidence from a Panel VAR Model of the Indian Stock Market
GLO Discussion Paper Series, Global Labor Organization (GLO) 
See also Journal Article How Effective are Stock Market Reforms in Emerging Market Economies? Evidence from a Panel VAR Model of the Indian Stock Market, Journal of Quantitative Economics, Springer (2021) View citations (1) (2021)
2016
- How Successful Are Banking Sector Reforms in Emerging Market Economies? Evidence from Impact of Monetary Policy on Levels and Structures of Firm Debt in India
IZA Discussion Papers, Institute of Labor Economics (IZA) 
See also Journal Article How successful are banking sector reforms in emerging market economies? Evidence from impact of monetary policy on levels and structures of firm debt in India, The European Journal of Finance, Taylor & Francis Journals (2018) View citations (7) (2018)
- Real Effects of Capital Inflows in Emerging Markets
IMF Working Papers, International Monetary Fund View citations (21)
See also Journal Article The real effects of capital inflows in emerging markets, Journal of Banking & Finance, Elsevier (2020) View citations (15) (2020)
- The Bank Lending Channel of Monetary Policy: Does the Financial Structure of Banks Matter
Borradores de Economia, Banco de la Republica de Colombia View citations (1)
2015
- Modeling and predicting the market volatility index: The case of VKOSPI
Economics Discussion Papers, Kiel Institute for the World Economy (IfW Kiel) View citations (5)
2012
- Dynamics of Foreign Currency Lending in Turkey
MPRA Paper, University Library of Munich, Germany View citations (3)
2011
- Communication Matters: U.S. Monetary Policy and Commodity Price Volatility
MAGKS Papers on Economics, Philipps-Universität Marburg, Faculty of Business Administration and Economics, Department of Economics (Volkswirtschaftliche Abteilung) View citations (4)
See also Journal Article Communication matters: US monetary policy and commodity price volatility, Economics Letters, Elsevier (2012) View citations (27) (2012)
2010
- Evaluating the Effects of Deposit Dollarization in Bank Profitability
Fordham Economics Discussion Paper Series, Fordham University, Department of Economics View citations (2)
- Implications of bank ownership for the credit channel of monetary policy transmission: Evidence from India
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan View citations (8)
See also Journal Article Implications of bank ownership for the credit channel of monetary policy transmission: Evidence from India, Journal of Banking & Finance, Elsevier (2011) View citations (42) (2011)
2009
- Federal Reserve Communications and Emerging Equity Markets
MAGKS Papers on Economics, Philipps-Universität Marburg, Faculty of Business Administration and Economics, Department of Economics (Volkswirtschaftliche Abteilung) View citations (1)
See also Journal Article Federal Reserve Communications and Emerging Equity Markets, Southern Economic Journal, John Wiley & Sons (2012) View citations (2) (2012)
- The Impact of U.S. Central Bank Communication on European and Pacific Equity Markets
MAGKS Papers on Economics, Philipps-Universität Marburg, Faculty of Business Administration and Economics, Department of Economics (Volkswirtschaftliche Abteilung) View citations (1)
See also Journal Article The impact of U.S. central bank communication on European and pacific equity markets, Economics Letters, Elsevier (2010) View citations (48) (2010)
2008
- Financial Market Reaction to Federal Reserve Communications: Does the Crisis Make a Difference?
MAGKS Papers on Economics, Philipps-Universität Marburg, Faculty of Business Administration and Economics, Department of Economics (Volkswirtschaftliche Abteilung) View citations (14)
- Purchasing Power Parity Before And After The Adoption Of The Euro
Working Papers, College of Business, University of Texas at San Antonio View citations (18)
See also Journal Article Purchasing Power Parity before and after the Adoption of the Euro, Review of World Economics (Weltwirtschaftliches Archiv), Springer (2008) View citations (17) (2008)
- The Reaction of Asset Prices to Macroeconomic Announcements in New EU Markets: Evidence from Intraday Data
CERGE-EI Working Papers, The Center for Economic Research and Graduate Education - Economics Institute, Prague View citations (8)
See also Journal Article The reaction of asset prices to macroeconomic announcements in new EU markets: Evidence from intraday data, Journal of Financial Stability, Elsevier (2009) View citations (71) (2009)
2005
- Do Regional Integration Agreements Increase Business-Cycle Convergence? Evidence From APEC and NAFTA
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan View citations (7)
Also in Documentos de Trabajo, Centro de Economía Aplicada, Universidad de Chile (2005) View citations (7)
- Pilgrims to Eurozone: How Far, How Fast
Working Papers, Department of Economics, Bilkent University View citations (10)
Also in CERGE-EI Working Papers, The Center for Economic Research and Graduate Education - Economics Institute, Prague (2005) View citations (11)
See also Journal Article Pilgrims to the Eurozone: How far, how fast?, Economic Systems, Elsevier (2006) View citations (60) (2006)
2004
- Convergence of Candidate Countries to the European Union
Working Papers, Department of Economics, Bilkent University View citations (1)
- Creditor Moral Hazard in Equity Markets: A Theoretical Framework and Evidence from Indonesia and Korea
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan View citations (3)
- Effects of Transition and Political Instability on Foreign Direct Investment Inflows: Central Europe and the Balkans
Working Papers, Department of Economics, Bilkent University View citations (13)
Also in William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan (2004) View citations (11) ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies (2004) View citations (19)
- European Integration, Productivity Growth and Real Convergence
Working Papers, Department of Economics, Bilkent University View citations (1)
Also in ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies (2004) View citations (4)
See also Journal Article European integration, productivity growth and real convergence, European Economic Review, Elsevier (2007) View citations (56) (2007)
- Testing Creditor Moral Hazard in Sovereign Bond Markets: A Unified Theoretical Approach and Empirical Evidence
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan View citations (2)
Also in ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies (2004) View citations (2)
- The Impact of News, Oil Prices, and Global Market Developments on Russian Financial Markets
Finance, University Library of Munich, Germany View citations (6)
Also in William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan (2004) View citations (6)
See also Journal Article The impact of news, oil prices, and global market developments on Russian financial markets, The Economics of Transition, The European Bank for Reconstruction and Development (2005) View citations (31) (2005)
- Volatile Interest Rates, Volatile Crime Rates: A new argument for interest-rate smoothing
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan View citations (4)
- Worsening of the Asian Financial Crisis: Who is to Blame?
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan View citations (5)
2003
- The effects of transition and political instability on foreign direct investment: Central Europe and the Balkans
ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies View citations (4)
2002
- Balkan and Mediterranean Candidates for European Union Membership: The Convergence of their Monetary Policy with that of the European Central Bank
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan View citations (10)
Also in ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies (2001) 
See also Journal Article Balkan and Mediterranean Candidates for European Union Membership: The Convergence of Their Monetary Policy with That of the European Central Bank, Eastern European Economics, Taylor & Francis Journals (2002) View citations (10) (2002)
- Has the link between the spot and forward exchange rates broken down? Evidence from rolling cointegration tests
ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies View citations (1)
See also Journal Article Has the Link Between the Spot and Forward Exchange Rates Broken Down? Evidence from Rolling Cointegration Tests, Open Economies Review, Springer (2003) View citations (10) (2003)
- Integration of the Baltic States into the EU and institutios of fiscal convergence
BOFIT Discussion Papers, Bank of Finland Institute for Emerging Economies (BOFIT)
- Is there asymmetry in forward exchange rate bias? Multi-country evidence
ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies
- Nominal and real stochastic convergence within transition economies and to the European Union: Evidence from panel data
ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies View citations (18)
- Real and Monetary Convergence within the European Union and Between the European Union and Candidate Countries: A Rolling Cointegration Approach
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan View citations (15)
Also in ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies (2002) View citations (12)
- The End of Moderate Inflation in Three Transition Economies?
William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan View citations (7)
Also in ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies (1999) View citations (16) William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan (1999) View citations (16) Working Papers, Federal Reserve Bank of St. Louis (1999) View citations (19)
- The Impact of News, Oil Prices, and International Spillovers on Russian Financial Markets
Finance, University Library of Munich, Germany View citations (4)
Also in ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies (2002) View citations (4)
2001
- Detrending and the money-output link: International evidence
ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies View citations (1)
See also Journal Article Detrending and the Money‐Output Link: International Evidence, Southern Economic Journal, John Wiley & Sons (2002) (2002)
- Integration of the Baltic states into the EU and institutions of fiscal convergence: A critical evaluation of key issues and empirical evidence
ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies View citations (5)
- Investor Panic, IMF Actions, and Emerging Stock Market Returns and Volatility
International Finance, University Library of Munich, Germany
- Investor panic, IMF actions, and emerging stock market returns and volatility: A panel investigation
ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies
- Is Kazakhstan vulnerable to the Dutch disease?
ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies View citations (23)
- Opposites attract: The case of Greek and Turkish financial markets
ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies
- Regional effects of terrorism on tourism: Evidence from three Mediterranean countries
ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies View citations (41)
- Sources of inflation and output fluctuations in Poland and Hungary: Implications for full membership in the European Union
ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies View citations (5)
2000
- Inflation bias and productivity shocks in transition economies: The case of the Czech Republic
ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies View citations (14)
- Sources of real exchange rate fluctuations in transition economies: The case of Ploand and Hungary
ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies View citations (1)
See also Journal Article Sources of Real Exchange Rate Fluctuations in Transition Economies: The Case of Poland and Hungary, Journal of Comparative Economics, Elsevier (2001) View citations (83) (2001)
1999
- The evolution of monetary policy in transition economies
ZEI Working Papers, University of Bonn, ZEI - Center for European Integration Studies View citations (6)
See also Journal Article The evolution of monetary policy in transition economies, Review, Federal Reserve Bank of St. Louis (2000) View citations (16) (2000)
1998
- Sources of real and nominal exchange rate fluctuations in transition economies
Working Papers, Federal Reserve Bank of St. Louis View citations (12)
- The persistence of moderate inflation in the Czech Republic and the Koruna crisis of May 1997
Working Papers, Federal Reserve Bank of St. Louis View citations (6)
Journal Articles
2023
- Banking sector competition and firms’ financial constraints: Firm-Level evidence from developing economies
Journal of International Financial Markets, Institutions and Money, 2023, 88, (C) View citations (1)
- COVID-19 Pandemic and Enterprise Financial Performance: Aggregate, Regional, and Sectoral Evidence from Poland
Eastern European Economics, 2023, 61, (5), 491-516
- Do investment fund managers behave rationally in the light of central bank communication? Survey evidence from Poland
Qualitative Research in Financial Markets, 2023, 15, (5), 757-794
2022
- Financial stress transmission between the U.S. and the Euro Area
Journal of Financial Stability, 2022, 60, (C) View citations (10)
- Non-linearity and the threshold effect of transparency on economic growth: evidence from developing countries
Journal of Economic Policy Reform, 2022, 25, (4), 388-414 View citations (2)
- Value creation and value destruction in investor-state dispute arbitration
Journal of Multinational Financial Management, 2022, 63, (C)
2021
- Black swan events and COVID-19 outbreak: Sector level evidence from the US, UK, and European stock markets
International Review of Economics & Finance, 2021, 75, (C), 546-557 View citations (18)
- COVID-19 Pandemic and firm-level dynamics in the USA, UK, Europe, and Japan
International Review of Financial Analysis, 2021, 78, (C) View citations (3)
See also Working Paper COVID-19 pandemic and firm-level dynamics in the USA, UK, Europe, and Japan, LSE Research Online Documents on Economics (2021) (2021)
- Central bank's communication and markets' reactions: Polish evidence
International Journal of Emerging Markets, 2021, 18, (9), 2544-2580
- Economic resiliency and recovery, lessons from the financial crisis for the COVID-19 pandemic: A regional perspective from Central and Eastern Europe
International Review of Financial Analysis, 2021, 74, (C) View citations (14)
- How Effective are Stock Market Reforms in Emerging Market Economies? Evidence from a Panel VAR Model of the Indian Stock Market
Journal of Quantitative Economics, 2021, 19, (4), 795-818 View citations (1)
See also Working Paper How Effective are Stock Market Reforms in Emerging Market Economies? Evidence from a Panel VAR Model of the Indian Stock Market, GLO Discussion Paper Series (2018) (2018)
- Public debt and economic growth in developing countries: Nonlinearity and threshold analysis
Economic Modelling, 2021, 98, (C), 26-40 View citations (40)
- Testing the structure-conduct-performance relationship for ASEAN: Addressing the issues in the panel mediation
Journal of Asian Economics, 2021, 72, (C) View citations (2)
- The Productivity–Real Wage Nexus in Emerging European Economies: Evidence from Poland
Eastern European Economics, 2021, 59, (3), 250-270 View citations (2)
2020
- A reliable performance measure to differentiate China’s actively managed open-end equity mutual funds
Applied Economics, 2020, 50, (52), 5592-5603 
Also in Applied Economics, 2018, 50, (52), 5592-5603 (2018) View citations (5)
- A survey on national culture and corporate financial decisions: current status and future research
International Journal of Emerging Markets, 2020, 16, (7), 1234-1258 View citations (3)
- Does celebrity spokesperson signal firm performance? Evidence from a drug scandal in China
Finance Research Letters, 2020, 34, (C)
- Does information disclosure reduce stock price volatility? A comparison of Islamic and conventional banks in Gulf countries
International Journal of Emerging Markets, 2020, 16, (8), 1769-1792 View citations (1)
- Does the financial structure of banks influence the bank lending channel of monetary policy? Evidence from Colombia
International Journal of Emerging Markets, 2020, 16, (4), 765-785
- Equity market and money supply spillovers and economic growth in BRICS economies: A global vector autoregressive approach
The North American Journal of Economics and Finance, 2020, 51, (C) View citations (9)
- The force of globalization reshaping the local institutions: evidence from the Organization of Islamic Cooperation member countries
International Journal of Emerging Markets, 2020, 16, (8), 1943-1963
- The influence of oil prices on the banking sector in oil-exporting economies: Is there a psychological barrier?
International Review of Financial Analysis, 2020, 69, (C) View citations (11)
- The real effects of capital inflows in emerging markets
Journal of Banking & Finance, 2020, 119, (C) View citations (15)
See also Working Paper Real Effects of Capital Inflows in Emerging Markets, IMF Working Papers (2016) View citations (21) (2016)
2019
- Can government intervention be both a curse and a blessing? Evidence from China's finance sector
International Review of Financial Analysis, 2019, 61, (C), 71-81 View citations (18)
- Do low gasoline prices cause more traffic fatalities in the 50 states of the USA? The importance of other factors
Journal of Economic Studies, 2019, 46, (3), 777-795
- Does Bank Competition Alleviate Financing Constraints in China? Further Evidence From Listed Firms
Emerging Markets Finance and Trade, 2019, 55, (9), 2124-2145 View citations (9)
- Dynamic transmission mechanisms in global crude oil prices: Estimation and implications
Energy, 2019, 175, (C), 1181-1193 View citations (54)
- Dynamics of mutual funds and stock markets in Asian developing economies
Journal of Asian Economics, 2019, 65, (C) View citations (4)
- Economic policy uncertainty in the US and China and their impact on the global markets
Economic Modelling, 2019, 79, (C), 47-56 View citations (106)
- Equity fund flows, market returns, and market risk: evidence from China
Risk Management, 2019, 21, (1), 48-71 View citations (6)
- Guest Editors’ Introduction: Structural Transformation, Foreign Direct Investment, and Institutional Development
Emerging Markets Finance and Trade, 2019, 55, (10), 2147-2148
- How do talented managers view dividend policy? Further evidence from Chinese equity market
International Journal of Emerging Markets, 2019, 15, (3), 559-586 View citations (1)
- On the Asymmetric Effects of Exchange Rate Changes on the Demand for Money: Evidence from Emerging Economies
Journal of Emerging Market Finance, 2019, 18, (1), 1-22 View citations (8)
- The impacts of overseas market shocks on the CDS-option basis
The North American Journal of Economics and Finance, 2019, 47, (C), 622-636 View citations (11)
- Volatility information trading in the index options market: An intraday analysis
International Review of Economics & Finance, 2019, 64, (C), 412-426 View citations (14)
2018
- Are top managers important for firm performance and idiosyncratic risk? Evidence from sharia vs non†sharia†compliant firms in the UK and Pakistan
The World Economy, 2018, 41, (3), 763-780
- Determinants and Economic Effects of New Firm Creation: Evidence from Polish Regions
Eastern European Economics, 2018, 56, (3), 201-222 View citations (3)
- Do international institutions affect financial markets?: evidence from the Greek Sovereign Debt Crisis
The European Journal of Finance, 2018, 24, (7-8), 584-605 View citations (6)
- Does the introduction of index futures stabilize stock markets? Further evidence from emerging markets
International Review of Economics & Finance, 2018, 57, (C), 183-197
- Financing Renewable Energy Projects in Major Emerging Market Economies: Evidence in the Perspective of Sustainable Economic Development
Emerging Markets Finance and Trade, 2018, 54, (8), 1761-1777 View citations (87)
- Fuel Intensity, Access to Finance and Profitability: Firm-Level Evidence from China
Emerging Markets Finance and Trade, 2018, 54, (13), 3117-3130 View citations (1)
- How successful are banking sector reforms in emerging market economies? Evidence from impact of monetary policy on levels and structures of firm debt in India
The European Journal of Finance, 2018, 24, (12), 1047-1062 View citations (7)
See also Working Paper How Successful Are Banking Sector Reforms in Emerging Market Economies? Evidence from Impact of Monetary Policy on Levels and Structures of Firm Debt in India, IZA Discussion Papers (2016) (2016)
- Is U.S. economic policy uncertainty priced in China's A-shares market? Evidence from market, industry, and individual stocks
International Review of Financial Analysis, 2018, 57, (C), 207-220 View citations (33)
- Option moneyness and price disagreements
Applied Economics Letters, 2018, 25, (3), 192-196 View citations (10)
- Real estate investments and financial stability: evidence from regional commercial banks in China
The European Journal of Finance, 2018, 24, (16), 1388-1408 View citations (20)
- The role of institutions in finance curse: Evidence from international data
Journal of Comparative Economics, 2018, 46, (1), 174-191 View citations (65)
2017
- Do Islamic banks fail more than conventional banks?
Journal of International Financial Markets, Institutions and Money, 2017, 50, (C), 135-155 View citations (23)
- Do managers of sharia-compliant firms have distinctive financial styles?
Journal of International Financial Markets, Institutions and Money, 2017, 46, (C), 174-187 View citations (17)
- Does Institutional Quality Matter for Financial Development and Growth? Further Evidence from MENA Countries
Australian Economic Papers, 2017, 56, (3), 228-248 View citations (37)
- Does higher bank concentration reduce the level of competition in the banking industry? Further evidence from South East Asian economies
International Review of Economics & Finance, 2017, 52, (C), 91-106 View citations (12)
- Efficiency, growth and market power in the banking industry: New approach to efficient structure hypothesis
The North American Journal of Economics and Finance, 2017, 42, (C), 531-545 View citations (21)
- Financial integration in small Islands: The case of Cyprus
International Review of Economics & Finance, 2017, 47, (C), 201-219 View citations (1)
- Mutual funds and stock market volatility: An empirical analysis of Asian emerging markets
Emerging Markets Review, 2017, 31, (C), 176-192 View citations (14)
- Testing the dependency theory on small island economies: The case of Cyprus
Economic Modelling, 2017, 61, (C), 1-11 View citations (9)
- The impact of unsuccessful pirate attacks on financial markets: Evidence in support of Leeson's reputation-building theory
Economic Modelling, 2017, 60, (C), 344-351 View citations (1)
- What Drives Financial Crises in Emerging Markets?
Emerging Markets Finance and Trade, 2017, 53, (2), 227-228
2016
- Armed conflict and financial and economic risk: evidence from Colombia
Risk Management, 2016, 18, (2), 159-187 View citations (5)
- Does Bank Diversification Improve Output Growth? Evidence from the Recent Global Crisis
International Review of Finance, 2016, 16, (3), 467-481 View citations (4)
- Economic agents in transition: Firm owners and households
Journal of Comparative Economics, 2016, 44, (4), 1084-1085
- Financial and real sector returns, IMF-related news, and the Asian crisis
Finance Research Letters, 2016, 16, (C), 28-37 View citations (1)
- Free cash flows and overinvestment: Further evidence from Chinese energy firms
Energy Economics, 2016, 58, (C), 116-124 View citations (25)
- Information Transmission Through Rumors in Stock Markets: A New Evidence
Journal of Behavioral Finance, 2016, 17, (4), 365-381 View citations (10)
- Monetary Policy Announcements, Communication, and Stock Market Liquidity
Australian Economic Papers, 2016, 55, (3), 227-250 View citations (11)
- Non-performing loans, moral hazard and regulation of the Chinese commercial banking system
Journal of Banking & Finance, 2016, 63, (C), 48-60 View citations (114)
- Policy Uncertainty and the Demand for Money in the United States
Applied Economics Quarterly (formerly: Konjunkturpolitik), 2016, 62, (1), 37-49 View citations (13)
- Private credit spillovers and economic growth: Evidence from BRICS countries
Journal of International Financial Markets, Institutions and Money, 2016, 44, (C), 56-84 View citations (25)
- Real and Financial Sector Studies in Central and Eastern Europe: A Review
Czech Journal of Economics and Finance (Finance a uver), 2016, 66, (1), 2-31 View citations (11)
- Worldwide impact of IMF policies during the Asian crisis: who does the IMF help, creditors or crisis countries?
Journal of Economic Policy Reform, 2016, 19, (2), 116-147 View citations (1)
2015
- Do Mergers and Acquisitions Create Wealth Effects? Evidence from Twenty Emerging Markets
Eastern European Economics, 2015, 53, (6), 529-550 View citations (4)
- Does exchange rate volatility hurt domestic consumption? Evidence from emerging economies
International Economics, 2015, (144), 53-65 View citations (15)
Also in International Economics, 2015, 144, (C), 53-65 (2015) View citations (15)
- Effects of the US stock market return and volatility on the VKOSPI
Economics - The Open-Access, Open-Assessment E-Journal (2007-2020), 2015, 9, 1-34 View citations (20)
- Finance, Development, and Corporate Governance in Emerging Economies
Emerging Markets Finance and Trade, 2015, 51, (S4), S1-S1
- Financial and Real Sector Challenges in Emerging Economies
Emerging Markets Finance and Trade, 2015, 51, (S1), S1-S2
- Financial market reaction to Federal Reserve communications: Does the global financial crisis make a difference?
Empirica, 2015, 42, (1), 185-203 View citations (11)
- Foreign Currency Lending and Banking System Stability: New Evidence from Turkey
Central Bank Review, 2015, 15, (2), 1-29 View citations (5)
- Investor response to public news, sentiment and institutional trading in emerging markets: A review
International Review of Economics & Finance, 2015, 40, (C), 338-352 View citations (16)
- PPP may hold better than you think: Smooth breaks and non-linear mean reversion in real effective exchange rates
Economic Systems, 2015, 39, (2), 358-366 View citations (7)
- Policy uncertainty and the demand for money in the United Kingdom
Applied Economics, 2015, 47, (11), 1151-1157 View citations (15)
- Public information arrival and investor reaction during a period of institutional change: An episode of early years of a newly independent central bank
Journal of Comparative Economics, 2015, 43, (3), 727-753 View citations (8)
2014
- Do ADR investors herd?: Evidence from advanced and emerging markets
International Review of Economics & Finance, 2014, 30, (C), 138-148 View citations (18)
- Does inflation targeting lower inflation and spur growth?
Journal of Policy Modeling, 2014, 36, (2), 373-388 View citations (32)
- EuroConference 2013 Symposium: International Conference on Business, Economics and Finance
Economic Systems, 2014, 38, (4), 469-469
- Introduction
Emerging Markets Finance and Trade, 2014, 50, (3), 4
- Introduction
Emerging Markets Finance and Trade, 2014, 50, (4), 4-4
- Introduction
Emerging Markets Finance and Trade, 2014, 50, (2), 4
- Introduction
Emerging Markets Finance and Trade, 2014, 50, (S2), 4-4
- Introduction
Emerging Markets Finance and Trade, 2014, 50, (1), 4
- Introduction
Emerging Markets Finance and Trade, 2014, 50, (2S), 4
- Investor wealth, the IMF, and the Asian crisis
International Review of Financial Analysis, 2014, 33, (C), 130-137 View citations (3)
- Monetary and fiscal policy interactions: Evidence from emerging European economies
Journal of Comparative Economics, 2014, 42, (4), 1079-1091 View citations (19)
- Smooth structural breaks and the stationarity of the yen real exchange rates
Applied Economics, 2014, 46, (10), 1150-1159 View citations (6)
- Special Section Introduction: Globalization, Financial Integration and Investment in Emerging Economies
Emerging Markets Finance and Trade, 2014, 50, (S5), 130-130
- Special Section Introduction: Market Volatility, Trading Behavior, and Bank Efficiency in Asian Markets
Emerging Markets Finance and Trade, 2014, 50, (S6), 137-137
2013
- Capital Flight in the Presence of Domestic Borrowing: Evidence from Eastern European Economies
World Development, 2013, 51, (C), 32-46 View citations (14)
- Introduction
Emerging Markets Finance and Trade, 2013, 49, (3), 64
- Introduction
Emerging Markets Finance and Trade, 2013, 49, (5), 3
- Introduction
Emerging Markets Finance and Trade, 2013, 49, (4), 3
- Introduction
Emerging Markets Finance and Trade, 2013, 49, (2), 3
- Introduction
Emerging Markets Finance and Trade, 2013, 49, (6), 3
- Introduction
Emerging Markets Finance and Trade, 2013, 49, (S4), 4
- Introduction
Emerging Markets Finance and Trade, 2013, 49, (1), 3
- Introduction
Emerging Markets Finance and Trade, 2013, 49, (S2), 4-5
- Measuring financial stress in transition economies
Journal of Financial Stability, 2013, 9, (4), 597-611 View citations (60)
- The Impact of Natural Disasters on Stock Markets: Evidence from Japan and the US
Comparative Economic Studies, 2013, 55, (4), 672-686 View citations (34)
- The impact of economic and monetary uncertainty on the demand for money in emerging economies
Applied Economics, 2013, 45, (23), 3278-3287 View citations (27)
2012
- Acknowledgment of Referees
Emerging Markets Finance and Trade, 2012, 48, (1), 132-137 
Also in Emerging Markets Finance and Trade, 2011, 47, (1), 130-135 (2011)
- Communication matters: US monetary policy and commodity price volatility
Economics Letters, 2012, 117, (1), 247-249 View citations (27)
See also Working Paper Communication Matters: U.S. Monetary Policy and Commodity Price Volatility, MAGKS Papers on Economics (2011) View citations (4) (2011)
- Cross-sectional determinants of bank performance under deposit dollarization in emerging markets
Emerging Markets Review, 2012, 13, (4), 478-492 View citations (12)
- Federal Reserve Communications and Emerging Equity Markets
Southern Economic Journal, 2012, 78, (3), 1041-1056 View citations (2)
See also Working Paper Federal Reserve Communications and Emerging Equity Markets, MAGKS Papers on Economics (2009) View citations (1) (2009)
- IMF programs, financial and real sector performance, and the Asian crisis
Journal of Banking & Finance, 2012, 36, (1), 164-182 View citations (23)
- Introduction
Emerging Markets Finance and Trade, 2012, 48, (6), 3
- Introduction
Emerging Markets Finance and Trade, 2012, 48, (5), 3
- Introduction
Emerging Markets Finance and Trade, 2012, 48, 4-5
- Introduction
Emerging Markets Finance and Trade, 2012, 48, (1), 3
- Introduction
Emerging Markets Finance and Trade, 2012, 48, (4), 3
- Introduction
Emerging Markets Finance and Trade, 2012, 48, (3), 3
- The effect of ethanol listing on corn prices: Evidence from spot and futures markets
Energy Economics, 2012, 34, (5), 1400-1406 View citations (8)
2011
- Can inflation targeting regimes be effective in developing countries? The Turkish experience
Journal of Asian Economics, 2011, 22, (5), 343-355 View citations (25)
- Guest Editors' Introduction
Emerging Markets Finance and Trade, 2011, 47, (0S2), 3-4
- Implications of bank ownership for the credit channel of monetary policy transmission: Evidence from India
Journal of Banking & Finance, 2011, 35, (9), 2418-2428 View citations (42)
See also Working Paper Implications of bank ownership for the credit channel of monetary policy transmission: Evidence from India, William Davidson Institute Working Papers Series (2010) View citations (8) (2010)
- Introduction
Emerging Markets Finance and Trade, 2011, 47, (6), 3
- Introduction
Emerging Markets Finance and Trade, 2011, 47, (3), 3-3
- Introduction
Emerging Markets Finance and Trade, 2011, 47, (1), 3-4
- Introduction
Emerging Markets Finance and Trade, 2011, 47, (4), 3-3
- Introduction
Emerging Markets Finance and Trade, 2011, 47, (5), 3
- Is the evidence for PPP reliable? A sustainability examination of the stationarity of real exchange rates
Journal of Banking & Finance, 2011, 35, (9), 2479-2490 View citations (23)
- The costs of moving money across borders and the volume of capital flight: the case of Russia and other CIS countries
Review of World Economics (Weltwirtschaftliches Archiv), 2011, 147, (4), 717-744 View citations (9)
2010
- Black and official market exchange rates and purchasing power parity: evidence from Latin America
Applied Economics Letters, 2010, 17, (15), 1453-1459 View citations (1)
- Do investors herd in emerging stock markets?: Evidence from the Taiwanese market
Journal of Economic Behavior & Organization, 2010, 76, (2), 283-295 View citations (101)
- Editor's Introduction
Emerging Markets Finance and Trade, 2010, 46, (3), 3-3
- Editor's Introduction
Emerging Markets Finance and Trade, 2010, 46, (5), 3-3
- Editor's Introduction
Emerging Markets Finance and Trade, 2010, 46, (2), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2010, 46, (4), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2010, 46, (6), 3-4
- Future of capitalism: Is it failing?
Economic Systems, 2010, 34, (1), 1-2 View citations (3)
- How stable is the demand for money in emerging economies?
Applied Economics, 2010, 42, (26), 3307-3318 View citations (16)
- Referee Acknowledgment
Emerging Markets Finance and Trade, 2010, 46, (2), 133-140 
Also in Emerging Markets Finance and Trade, 2009, 45, (3), 83-87 (2009)
- The behavior of crude oil spot and futures prices around OPEC and SPR announcements: An event study perspective
Energy Economics, 2010, 32, (6), 1467-1476 View citations (80)
- The impact of U.S. central bank communication on European and pacific equity markets
Economics Letters, 2010, 108, (2), 172-174 View citations (48)
See also Working Paper The Impact of U.S. Central Bank Communication on European and Pacific Equity Markets, MAGKS Papers on Economics (2009) View citations (1) (2009)
2009
- A century of PPP: supportive results from nonlinear unit root tests
Global Business and Economics Review, 2009, 11, (1), 19-27 View citations (3)
- Are International Monetary Fund Programs Effective?: Evidence from East European Countries
Eastern European Economics, 2009, 47, (1), 5-28 View citations (3)
- Corruption and Economic Development in Energy-rich Economies
Comparative Economic Studies, 2009, 51, (2), 165-180 View citations (9)
- Editor's Introduction
Emerging Markets Finance and Trade, 2009, 45, (4), 3-3
- Editor's Introduction
Emerging Markets Finance and Trade, 2009, 45, (6), 3-3
- Editor's Introduction
Emerging Markets Finance and Trade, 2009, 45, (3), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2009, 45, (1), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2009, 45, (5), 3-3
- Editor's Introduction
Emerging Markets Finance and Trade, 2009, 45, (2), 3-3
- European integration, productivity growth and real convergence: Evidence from the new member states
Economic Systems, 2009, 33, (2), 127-137 View citations (44)
- Is PPP sensitive to time-varying trade weights in constructing real effective exchange rates?
The Quarterly Review of Economics and Finance, 2009, 49, (3), 1001-1008 View citations (10)
- The J-curve in the emerging economies of Eastern Europe
Applied Economics, 2009, 41, (20), 2523-2532 View citations (46)
- The reaction of asset prices to macroeconomic announcements in new EU markets: Evidence from intraday data
Journal of Financial Stability, 2009, 5, (2), 199-219 View citations (71)
See also Working Paper The Reaction of Asset Prices to Macroeconomic Announcements in New EU Markets: Evidence from Intraday Data, CERGE-EI Working Papers (2008) View citations (8) (2008)
- Towards solving the PPP puzzle: evidence from 113 countries
Applied Economics, 2009, 41, (24), 3057-3066 View citations (11)
2008
- Are devaluations contractionary in emerging economies of Eastern Europe?
Economic Change and Restructuring, 2008, 41, (1), 61-74 View citations (17)
- Do Real Exchange Rates Follow a Nonlinear Mean Reverting Process in Developing Countries?
Southern Economic Journal, 2008, 74, (4), 1049-1062 View citations (2)
- Do nominal devaluations lead to real devaluations? Evidence from 89 countries
International Review of Economics & Finance, 2008, 17, (4), 644-670 View citations (14)
- Editor's Introduction
Emerging Markets Finance and Trade, 2008, 44, (1), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2008, 44, (2), 3-3
- Editor's Introduction
Emerging Markets Finance and Trade, 2008, 44, (5), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2008, 44, (3), 3-4
- Fiscal convergence in the European Union
The North American Journal of Economics and Finance, 2008, 19, (3), 319-330 View citations (38)
- How do IMF announcements affect financial markets in crises?: Evidence from forward exchange markets
Journal of Financial Stability, 2008, 4, (2), 121-134 View citations (3)
- Impact of IMF-related news on capital markets: Further evidence from bond spreads in Indonesia and Korea
Journal of International Financial Markets, Institutions and Money, 2008, 18, (2), 147-160 View citations (9)
- Inflation Targeting, Policy Rates and Exchange Rate Volatility: Evidence from Turkey
Comparative Economic Studies, 2008, 50, (3), 460-493 View citations (3)
- Purchasing Power Parity before and after the Adoption of the Euro
Review of World Economics (Weltwirtschaftliches Archiv), 2008, 144, (1), 134-150 View citations (17)
See also Working Paper Purchasing Power Parity Before And After The Adoption Of The Euro, Working Papers (2008) View citations (18) (2008)
- Special Issue on Inflation Targeting Around the Globe: The Experience of Advanced and Emerging Market Economies
Emerging Markets Finance and Trade, 2008, 44, (6), 3-4
- The Enlargement of the European Union and the Behavior of Real Exchange Rates
Review of Development Economics, 2008, 12, (3), 550-561 View citations (4)
- The S-Curve in Emerging Markets
Comparative Economic Studies, 2008, 50, (2), 341-351 View citations (7)
2007
- A Century of Purchasing Power Parity: Further Evidence
Economics Bulletin, 2007, 6, (31), 1-9 View citations (5)
- Are multinationals afraid of social violence in emerging markets?
Journal of Economic Studies, 2007, 34, (1), 59-73 View citations (1)
- Contagion or Real Linkages? Some Evidence from China's Emerging Parallel Markets
China & World Economy, 2007, 15, (4), 52-65 View citations (2)
- Editor's Introduction
Emerging Markets Finance and Trade, 2007, 43, (5), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2007, 43, (1), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2007, 43, (2), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2007, 43, (4), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2007, 43, (3), 3-4
- European integration, productivity growth and real convergence
European Economic Review, 2007, 51, (6), 1370-1395 View citations (56)
See also Working Paper European Integration, Productivity Growth and Real Convergence, Working Papers (2004) View citations (1) (2004)
- Foreign Direct Investment and Export Performance: Empirical Evidence
Comparative Economic Studies, 2007, 49, (3), 430-445 View citations (22)
- IMF-related announcements and stock market returns: Evidence from financial and non-financial sectors in Indonesia, Korea, and Thailand
Pacific-Basin Finance Journal, 2007, 15, (1), 80-104 View citations (19)
- Testing PPP in the non-linear STAR framework
Economics Letters, 2007, 94, (1), 104-110 View citations (28)
2006
- Creditor moral hazard in stock markets: Empirical evidence from Indonesia and Korea
Journal of International Money and Finance, 2006, 25, (4), 640-654 View citations (10)
- Determinants of returns and volatility of Chinese ADRs at NYSE
Journal of Multinational Financial Management, 2006, 16, (1), 1-15 View citations (14)
- Does herding behavior exist in Chinese stock markets?
Journal of International Financial Markets, Institutions and Money, 2006, 16, (2), 123-142 View citations (163)
- Editor's Introduction
Emerging Markets Finance and Trade, 2006, 42, (1), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2006, 42, (3), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2006, 42, (4), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2006, 42, (2), 3-3
- Editor's Introduction
Emerging Markets Finance and Trade, 2006, 42, (6), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2006, 42, (5), 3-4
- Monetary convergence to the Euro
Economic Systems, 2006, 30, (4), 307-310 View citations (10)
- Pilgrims to the Eurozone: How far, how fast?
Economic Systems, 2006, 30, (4), 311-327 View citations (60)
See also Working Paper Pilgrims to Eurozone: How Far, How Fast, Working Papers (2005) View citations (10) (2005)
- The effects of transition and political instability on foreign direct investment inflows
The Economics of Transition, 2006, 14, (4), 649-680 View citations (30)
2005
- Disinflation in Transition Economics
Comparative Economic Studies, 2005, 47, (4), 698-701
- Does the forward premium anomaly depend on the sample period used or on the sign of the premium?
International Review of Economics & Finance, 2005, 14, (1), 17-25 View citations (17)
- Editor's Introduction
Emerging Markets Finance and Trade, 2005, 41, (4), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2005, 41, (3), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2005, 41, (2), 3-4
- Editorial introduction: Is the World Bank lending effective in developing countries?
Economic Systems, 2005, 29, (4), 363-365
- Exchange-rate economics in transition countries
Economic Systems, 2005, 29, (2), 123-129 View citations (6)
- Explaining the real exchange rate in Kazakhstan, 1996-2003: Is Kazakhstan vulnerable to the Dutch disease?
Economic Systems, 2005, 29, (2), 242-255 View citations (45)
- IMF-Supported Programmes in Transition Economies: Are They Effective?
Comparative Economic Studies, 2005, 47, (1), 23-40 View citations (2)
- IMF-related news and emerging financial markets
Journal of International Money and Finance, 2005, 24, (7), 1126-1142 View citations (37)
- Information flows within and across sectors in Chinese stock markets
The Quarterly Review of Economics and Finance, 2005, 45, (4-5), 767-780 View citations (18)
- Introduction to Special Issue: Symposium Part II
Comparative Economic Studies, 2005, 47, (1), 1-3
- Real and monetary convergence between the European Union's core and recent member countries: A rolling cointegration approach
Journal of Banking & Finance, 2005, 29, (1), 249-270 View citations (68)
- Real and nominal stochastic convergence: Are the new EU members ready to join the Euro zone?
Journal of Comparative Economics, 2005, 33, (2), 387-400 View citations (42)
- Sources of inflation and output movements in Poland and Hungary: Policy implications for accession to the economic and monetary union
Journal of Macroeconomics, 2005, 27, (1), 107-131 View citations (14)
- The impact of news, oil prices, and global market developments on Russian financial markets
The Economics of Transition, 2005, 13, (2), 373-393 View citations (31)
See also Working Paper The Impact of News, Oil Prices, and Global Market Developments on Russian Financial Markets, Finance (2004) View citations (6) (2004)
- Why Do Financial Markets Move Together?: An Investigation of Greek and Turkish Markets
Eastern European Economics, 2005, 43, (4), 5-26 View citations (3)
2004
- Editor's Introduction
Emerging Markets Finance and Trade, 2004, 40, (2), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2004, 40, (4), 3-4
- Exchange Rate Management Strategies in the Accession Countries: The Case of Hungary
Comparative Economic Studies, 2004, 46, (1), 23-44 View citations (12)
- IMF Conditionality and Programme Ownership in Developing and Emerging Economies – Implementation and Research Agenda: An Introduction to Special Issue: Symposium Part I
Comparative Economic Studies, 2004, 46, (3), 371-372
- Introduction to the symposium
Comparative Economic Studies, 2004, 46, (1), 1-3
- Nominal and real stochastic convergence of transition economies
Journal of Comparative Economics, 2004, 32, (1), 23-36 View citations (66)
- Public Information Arrival and Emerging Markets Returns and Volatility
Multinational Finance Journal, 2004, 8, (3-4), 227-245 View citations (2)
2003
- Editor's Introduction
Emerging Markets Finance and Trade, 2003, 39, (4), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2003, 39, (3), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2003, 39, (5), 3-4
- Editor's Introduction
Emerging Markets Finance and Trade, 2003, 39, (6), 3-4
- Has the Link Between the Spot and Forward Exchange Rates Broken Down? Evidence from Rolling Cointegration Tests
Open Economies Review, 2003, 14, (4), 369-379 View citations (10)
See also Working Paper Has the link between the spot and forward exchange rates broken down? Evidence from rolling cointegration tests, ZEI Working Papers (2002) View citations (1) (2002)
- Inflation and output as predictors of stock returns and volatility: international evidence
Applied Financial Economics, 2003, 13, (9), 693-700 View citations (24)
- Investor reaction to IMF actions in the indonesian financial crisis
Journal of Economic Policy Reform, 2003, 6, (3), 181-190 View citations (7)
- Public Information Arrival and the Fisher Effect in Emerging Markets: Evidence from Stock and Bond Markets in Turkey
Journal of Financial Services Research, 2003, 23, (3), 225-239 View citations (15)
- Regional Effects of Terrorism on Tourism in Three Mediterranean Countries
Journal of Conflict Resolution, 2003, 47, (5), 621-641 View citations (144)
2002
- Balkan and Mediterranean Candidates for European Union Membership: The Convergence of Their Monetary Policy with That of the European Central Bank
Eastern European Economics, 2002, 40, (4), 31-44 View citations (10)
See also Working Paper Balkan and Mediterranean Candidates for European Union Membership: The Convergence of their Monetary Policy with that of the European Central Bank, William Davidson Institute Working Papers Series (2002) View citations (10) (2002)
- Detrending and the Money‐Output Link: International Evidence
Southern Economic Journal, 2002, 69, (1), 159-174 
See also Working Paper Detrending and the money-output link: International evidence, ZEI Working Papers (2001) View citations (1) (2001)
- Is public information really irrelevant in explaining asset returns?
Economics Letters, 2002, 76, (2), 223-229 View citations (9)
2001
- FINANCIAL INNOVATION AND THE DEMAND FOR MONEY: EVIDENCE FROM THE PHILIPPINES
International Economic Journal, 2001, 17, (1), 17-27 View citations (5)
- Sources of Real Exchange Rate Fluctuations in Transition Economies: The Case of Poland and Hungary
Journal of Comparative Economics, 2001, 29, (2), 257-275 View citations (83)
See also Working Paper Sources of real exchange rate fluctuations in transition economies: The case of Ploand and Hungary, ZEI Working Papers (2000) View citations (1) (2000)
- The convergence of monetary policy between candidate countries and the European Union
Economic Systems, 2001, 25, (3), 215-231 View citations (50)
2000
- The evolution of monetary policy in transition economies
Review, 2000, 82, (Mar), 31-40 View citations (16)
See also Working Paper The evolution of monetary policy in transition economies, ZEI Working Papers (1999) View citations (6) (1999)
1999
- The persistence of moderate inflation in the czech republic and the czk crisis of may 1997
Prague Economic Papers, 1999, 1999, (4) View citations (9)
1998
- Dynamics of parallel and official exchange rates: The experience of hungary
Atlantic Economic Journal, 1998, 26, (1), 54-65 View citations (1)
- S. Togan and V. N. Balasubramanyam (Eds.), The Economy of Turkey since Liberalization
Journal of Comparative Economics, 1998, 26, (3), 583-586
1997
- Linkage in EMS term structures: evidence from common trend and transitory components
Journal of International Money and Finance, 1997, 16, (4), 595-607 View citations (33)
- More Evidence on the Money-Output Relationship
Economic Inquiry, 1997, 35, (1), 48-58 View citations (25)
- The exchange rate and the balance of trade: The Turkish experience
Journal of Development Studies, 1997, 33, (5), 675-692 View citations (30)
1996
- International economics: By Parviz Asheghian
The North American Journal of Economics and Finance, 1996, 7, (1), 109-110
- Which Single Currency for Western Europe?
Review of International Economics, 1996, 4, (2), 247-55 View citations (1)
1995
- Sociopolitical instability, volatility, and the bid-ask spread: Evidence from the free market for dollars in Poland
Open Economies Review, 1995, 6, (3), 225-236 View citations (2)
1994
- A Long-Run View of German Dominance and the Degree of Policy Convergence in the EMS
Economic Inquiry, 1994, 32, (4), 684-95 View citations (38)
1993
- China's Exchange Rate and the Balance of Trade
Economic Change and Restructuring, 1993, 26, (3), 229-42 View citations (18)
- Further Evidence on Money, Output, and Prices in China
Journal of Comparative Economics, 1993, 17, (3), 701-709 View citations (20)
1991
- German dominance in the European Monetary System: Evidence from money supply growth rates
Open Economies Review, 1991, 2, (3), 285-294 View citations (8)
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