International Finance
1998 - 2026
Current editor(s): Benn Steil From Wiley Blackwell Bibliographic data for series maintained by Wiley Content Delivery (). Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
Volume 16, issue 3, 2013
- Does Government Debt Affect Bank Credit? pp. 289-310

- Riccardo De Bonis and Massimiliano Stacchini
- Vulnerability, Crises and Debt Maturity: Do IMF Interventions Increase Reliance on Short-Term Debt? pp. 311-331

- Diego Saravia
- Capital Inflows to Greece, Spain, Portugal and Ireland: A Sector-Level View pp. 333-361

- André Ebner
- Intraday Liquidity and Central Bank Credit in Gross Payment Systems pp. 363-392

- Francisco Callado-Muñoz and Natalia Utrero-González
- Firm Debt Renegotiation, Reorganization Filing and Bank Relationships pp. 393-422

- Jiang-Chuan Huang, Chin-Sheng Huang and Hueh-Chen Lin
- Rebalancing a Tripartite World: Three Perspectives on Adjustment Policies pp. 423-441

- Matthew Saal
Volume 16, issue 2, 2013
- Pure or Wake-up-Call Contagion? Another Look at the EMU Sovereign Debt Crisis pp. 131-160

- Raffaela Giordano, Marcello Pericoli and Pietro Tommasino
- Pricing of Sovereign Credit Risk: Evidence from Advanced Economies during the Financial Crisis pp. 161-188

- C. Emre Alper, Lorenzo Forni and Marc Gerard
- The Response Speed of the International Monetary Fund pp. 189-211

- Ashoka Mody and Diego Saravia
- Foreign Investors under Stress: Evidence From India pp. 213-244

- Ila Patnaik, Ajay Shah and Nirvikar Singh
- On the Limits of Transparency: The Role of Imperfect Central Bank Knowledge pp. 245-271

- Marcelo Sánchez
- A New Paradigm for Monetary Policy? pp. 273-288

- Otmar Issing
Volume 16, issue 1, 2013
- Cross-Border Banking in Europe and Financial Stability pp. 1-22

- Dirk Schoenmaker and Wolf Wagner
- Structural Reforms and Macroeconomic Performance in the Euro Area Countries: A Model-Based Assessment pp. 23-44

- Sandra Gomes, Pascal Jacquinot, Matthias Mohr and Massimiliano Pisani
- Testing the Effectiveness of Market-Based Controls: Evidence From the Experience of Japan With Short-Term Capital Flows in the 1970s pp. 45-69

- Taro Esaka and Shinji Takagi
- Taylor's Rule Versus Taylor Rules pp. 71-93

- Alex Nikolsko-Rzhevskyy and David Papell
- Testing the Strategic Asset Allocation of Stabilization Sovereign Wealth Funds pp. 95-119

- Fabio Bertoni and Stefano Lugo
- Barofsky and Bair on Banks and Bailouts pp. 121-127

- Ernest Patrikis
Volume 15, issue 3, 2012
- Liabilities of Globalization: Sovereign Debt, International Investors and Interstate Conflict with Other People's Money pp. 277-288

- Scott Helfstein
- The Consequences of Banking Crises for Public Debt pp. 289-307

- Davide Furceri and Aleksandra Zdzienicka
- The Architecture and Governance of Financial Supervision: Sources and Implications pp. 309-325

- Nazire Nergiz Dincer and Barry Eichengreen
- Inflation and Inflation Volatility Revisited pp. 327-345

- Dong-Hyeon Kim and Shu-Chin Lin
- Institutions and Business Cycles pp. 347-366

- Sumru Altug, Bilin Neyapti and Mustafa Emin
- Noam Scheiber's Escape Artists: A Review Essay pp. 367-371

- Phillip Swagel
Volume 15, issue 2, 2012
- The Dollar Shortage in Global Banking and the International Policy Response pp. 155-178

- Patrick McGuire and Goetz von Peter
- Communicating About Macro-prudential Supervision – A New Challenge for Central Banks pp. 179-203

- Benjamin Born, Michael Ehrmann and Marcel Fratzscher
- Macroeconomic Stability, Financial Stability, and Monetary Policy Rules pp. 205-224

- Pierre-Richard Agénor and Luiz Awazu Pereira da Silva
- Monetary Policy Announcements and Short-Term Interest Rate Futures Volatility: Evidence from the M exican Market pp. 225-250

- Renata Herrerías and Pedro Gurrola Perez
- Has Globalization Improved International Risk Sharing? pp. 251-266

- Nikolaos Antonakakis and Johann Scharler
- Ron Suskind's Confidence Men: A Review Essay pp. 267-274

- Kevin Hassett
Volume 15, issue 1, 2012
- Episodes of Large Capital Inflows, Banking and Currency Crises, and Sudden Stops pp. 1-35

- Davide Furceri, Stephanie Guichard and Elena Rusticelli
- Global Financial Safety Nets: Where Do We Go from Here? pp. 37-68

- Eduardo Fernandez-Arias and Eduardo Levy-Yeyati
- Spillovers of Domestic Shocks: Will They Counteract the ‘Great Moderation’? pp. 69-97

- Alina Carare and Ashoka Mody
- Instrument versus Target Rules As Specifications of Optimal Monetary Policy pp. 99-123

- Richard T. Froyen and Alfred Guender
- Unfinished Business in Financial Reform pp. 125-135

- Paul Volcker
- Institutional Governance and Monetary Arrangements pp. 137-151

- Ellen Meade
Volume 14, issue 3, 2011
- Financing US Debt: Is There Enough Money in the World – and at What Cost? pp. 373-413

- John Kitchen and Menzie Chinn
- Should Larger Reserve Holdings Be More Diversified? pp. 415-444

- Roland Beck and Sebastian Weber
- Should Central Banks Target Consumer or Producer Prices? pp. 445-479

- Stephen McKnight
- The Home Bias, Capital Income Flows and Improved Long-Term Consumption Risk Sharing between Industrialized Countries pp. 481-505

- Michael Artis and Mathias Hoffmann
- Do Changes in Product Variety Matter for Business Cycles and Monetary Policy in Open Economies? pp. 507-539

- Stéphane Auray and Aurélien Eyquem
- The Soft Tyranny of Inflation Expectations pp. 541-566

- Adam Posen
- Barry Eichengreen's Exorbitant Privilege: A Review Essay pp. 567-571

- Paul De Grauwe
Volume 14, issue 2, 2011
- Determinacy in New Keynesian Models: A Role for Money after All? pp. 211-229

- A. Patrick Minford and Naveen Srinivasan
- The Government Spending Multiplier and Fiscal Financing: Insights from Japan pp. 231-264

- Yasuharu Iwata
- How Are Inflation Targets Set? pp. 265-300

- Roman Horvath and Jakub Matějů
- Cross-Border Investment in Small International Financial Centres pp. 301-330

- Philip Lane and Gian Maria Milesi-Ferretti
- Investment Dynamics in the Aftermath of the Asian Financial Crisis: A Firm-Level Analysis pp. 331-359

- Brahima Coulibaly and Jonathan Millar
- Four Crisis Books: A Review Essay pp. 361-371

- James K. Galbraith
Volume 14, issue 1, 2011
- The End of Chimerica pp. 1-26

- Niall Ferguson and Moritz Schularick
- Rebalancing Growth in Asia pp. 27-66

- Eswar Prasad
- Why Do Foreign Banks Withdraw from Other Countries? pp. 67-102

- Aneta Hryckiewicz and Oskar Kowalewski
- Business Cycles and the Role of Imperfect Competition in the Banking System pp. 103-133

- Federico Mandelman
- Under‐/Over‐Valuation of the Stock Market and Cyclically Adjusted Earnings pp. 135-164

- Marco Taboga
- Activism pp. 165-182

- Alan Greenspan
- Meltzer's History of the Federal Reserve: A Review Essay pp. 183-207

- Thomas F. Cargill
| |