Economic Notes
1999 - 2025
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Volume 29, issue 3, 2000
- Solving the Currency Conundrum pp. 315-339

- Barry Eichengreen
- Financial and Thermodynamic Equilibrium pp. 341-354

- Antonio Roma
- The Role of Political Instability in Stock Market Development and Economic Growth: The Case of Greece pp. 355-374

- Dimitrios Asteriou and Costas Siriopoulos
- Liquidity Creation through Banks and Markets: A Theoretical Perspective on Securitization pp. 375-391

- Ernst-Ludwig von Thadden
- Comments on the paper by Ernst-Ludwig von Thadden: Liquidity Creation through Banks and Markets: A Theoretical Perspective on Securitization pp. 393-397

- Ian Cooper
- Business Practice in Europe pp. 399-405

- Patrizia Canziani
- Managing a Bank Credit Portfolio: A Practical Standpoint pp. 407-418

- Marco G. Mazzucchelli
- Cross Country Legal Differences and the Italian Way to Securitization pp. 419-431

- Enrico Granata
- Essay Review: Franklin Allen and Douglas Gale Comparing Financial Systems pp. 433-439

- Fausto Panunzi
Volume 29, issue 2, 2000
- The Pricing of Italian Equity Returns pp. 153-177

- Annalisa Aleati, Pietro Gottardo and Maurizio Murgia
- Liquidity, Trading Size, and the Co-existence of Dealership and Auction Markets pp. 179-199

- Fabio Bagliano, Andrea Brandolini and Alberto Dalmazzo
- Survey Data and the Interest Rate Sensitivity of US Bank Stock Returns pp. 201-213

- H. A. Benink and Christian Wolff
- The Italian Banking Structure in the 1990s: Testing the Multimarket Contact Hypothesis pp. 215-241

- Riccardo De Bonis and Annalisa Ferrando
- Convergence within the EU: Evidence from Interest Rates pp. 243-266

- Teresa Corzo Santamaria and E. S. Schwartz
- Private and Government Employment in the OECD: Productivities and Wages pp. 267-279

- Georgios Karras
- Institutional Design as a Commitment Device in Credit Markets with Asymmetric Information: Experimental Evidence pp. 281-313

- Daniela Di Cagno and Emanuela Sciubba
Volume 29, issue 1, 2000
- A Simple Model of an International Lender of Last Resort pp. 1-11

- C. A. E. Goodhart and H. Huang
- Can Official Crisis Lending be Counterproductive in the Short Run? pp. 13-29

- Jeromin Zettelmeyer
- The East Asian Dollar Standard, Life After Death? pp. 31-82

- Ronald McKinnon
- Banking System Failures in Developing and Transition Countries: Diagnosis and Prediction pp. 83-109

- Patrick Honohan
- The Macroeconomic Implications of Regulatory Capital Adequacy Requirements for Korean Banks pp. 111-143

- G. Choi
- Conclusions pp. 145-151

- Joseph Stiglitz
Volume 28, issue 3, 1999
- Introduction pp. 249-254

- Joseph Stiglitz
- The East Asian Crisis and Policy Response – An Overview pp. 255-284

- T. Lane, A. R. Ghosh, A. Javier Hamann, S. Phillips, M. Schulze-Ghattas and T. Tsikata
- What Caused the Asian Crises: An Early Warning System Approach pp. 285-334

- Andrew Berg and C. Pattillo
- The Procyclical Role of Rating Agencies: Evidence from the East Asian Crisis pp. 335-355

- Giovanni Ferri, L.-G. Liu and Joseph Stiglitz
- Predicting the Evolution of the Asian Crisis – A View from the IMF pp. 357-363

- T. Lane
- Some Lessons from Forecasting Errors in the Recent Crisis pp. 365-381

- U. Dadush, M. Riordan and B. Wolfe
- Predicting the Evolution and Effects of the Asia Crisis from the OECD Perspective pp. 383-402

- Peter Richardson, I. Visco and Claude Giorno
- Did the East Asian Crisis Disproportionately Hit Small Businesses in Korea? pp. 403-429

- Ilker Domac and Giovanni Ferri
Volume 28, issue 2, 1999
- Individual Decision Making and Investor Welfare pp. 119-143

- Michael J. Brennan and Walter N. Torous
- A Base Model for Multifactor Specifications of the Term Structure pp. 145-170

- Andrea Berardi and Marcello Esposito
- The Term Structure of Interest Differentials in a Target Zone with Time-varying Devaluation Risk pp. 171-194

- Klaas Knot, Theo Dijkstra and Jakob de Haan
- The Credit Channel at Work: Lessons from the Financial Crisis in Korea pp. 195-221

- Giovanni Ferri and Tae Soo Kang
- Anticipated Inflation, Liquidity Costs and the Tobin Effect pp. 223-235

- Alberto Petrucci
- Lemmen, J. (1998) Integrating Financial Markets in the European Union pp. 237-248

- Marco Mazzoli
Volume 28, issue 1, 1999
- The Lender of Last Resort pp. 1-14

- Marcello De Cecco
- Inflation Targeting and the Accountability of the European Central Bank pp. 15-23

- Guido Tabellini
- Gaussian Estimation of a Two-factor Continuous Time Model of the Short-term Interest Rate pp. 25-41

- Albert Bergstrom and K. B. Nowman
- Deficits, Money Growth and Inflation in Italy: 1875–1994 pp. 43-71

- Carlo Favero and Franco Spinelli
- Stability of Risk Premia in the Italian Stock Market pp. 73-89

- Giovanni Mazzariello and Antonio Roma
- Price Limits, Information Acquisition, and Bid–ask Spreads: Theory and Evidence pp. 91-118

- V. Ravi Anshuman and Avanidhar Subrahmanyam
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