Finance Working Papers
From East Asian Bureau of Economic Research
Contact information at EDIRC.
Bibliographic data for series maintained by Shiro Armstrong (shiro.armstrong@anu.edu.au).
Access Statistics for this working paper series.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
- 23206: Global Imbalances in a World of Inflexible Real Exchange Rates and Capital Controls

- Andrew Hughes Hallett and Juan Carlos Martinez Oliva
- 23204: Distribution, Domestic Politics, and Monetary Cooperation in East Asia

- Natasha Hamilton-Hart
- 23201: Leveraging Environment and Climate Change Initiatives for Corporate Excellence

- Venkatachalam Anbumozhi, Mari Kimura and Kumiko Isono
- 23198: The International Regulatory Regime on Capital Flows

- Federico Lupo Pasini
- 23195: International Financial Integration and Crisis Intensity

- Andrew Rose
- 23191: Strengthening Financial Infrastructure

- Peter Morgan and Mario Lamberte
- 23190: Regional and Global Monetary Cooperation

- Mario Lamberte and Peter Morgan
- 23189: Lessons of the European Crisis for Regional Monetary and Financial Integration in East Asia

- Ulrich Volz
- 23127: Financial Development: A Broader Perspective

- Richard Reid
- 23126: Universalizing Complete Access to Finance: Key Conceptual Issues

- Suyash Rai, Bindu Ananth and Nachiket Mor
- 23124: Financial Inclusion and Financial Stability: Current Policy Issues

- Alfred Hannig and Stefan Jansen
- 23117: Political Economy of the Financial Crises in Japan & the United States: A Comparative Study on the Bailout of Financial Institutions

- Hirofumi Takinami
- 23112: East Asian Financial and Monetary Cooperation and Its Prospect: Beyond the CMI

- Young-Joon Park and Yonghyup Oh
- 23101: The 2008 Financial Crisis and Potential Output in Asia: Impact and Policy Implications

- Cyn-Young Park, Ruperto P. Majuca and Josef T. Yap
- 23076: Currency Regime and Monetary Autonomy

- Hiroyuki Taguchi
- 23074: Decentralization and Intergovernmental Finance in Japan

- Ichiro Aoki
- 23068: Impact of Financial Liberalisation and Deregulation on Banking Sector in Pakistan

- Kalbe Abbas and Manzoor Hussain Malik
- 23064: Measuring Accuracy of Projections of Central Taxes by the Finance Commission

- D K Srivastava and C Bhujanga Rao
- 23055: Asia’s Post-Global Financial Crisis Adjustment: A Model-Based Dynamic Scenario Analysis

- Masahiro Kawai and Fan Zhai
- 23054: Bayesian Analysis of Structural Credit Risk Models with Microstructure Noises

- Shirley J. Huang and Jun Yu
- 23051: Dating the Timeline of Financial Bubbles During the Subprime Crisis

- Peter Phillips and Jun Yu
- 23050: Explosive Behavior in the 1990s Nasdaq: When Did Exuberance Escalate Asset Values?

- Peter C.B. Philips, Yangru Wu and Jun Yu
- 23049: Forecasting Realized Volatility Using A Nonnegative Semiparametric Model

- Daniel Preve, Anders Eriksson and Jun Yu
- 23029: OTC Derivatives Market in India: Recent Regulatory Initiatives and Open Issues for Market Stability and Development

- DayanArora and Francis Rathinam
- 23028: Call auctions: A solution to some difficulties in Indian finance

- Susan Thomas
- 23014: Regulating Systemic Risk

- Masahiro Kawai and Michael Pomerleano
- 23013: The Role of State Intervention in the Financial Sector: Crisis Prevention, Containment, and Resolution

- Yoon Je Cho
- 23011: Monetary Policy Strategies in the Asia and Pacific Region: What Way Forward?

- Andrew Filardo and Hans Genberg
- 23010: Securitized Products, Financial Regulation, and Systemic Risk

- Mariko Fujii
- 23008: International Reserves and Swap Lines in Times of Financial Distress: Overview and Interpretations

- Joshua Aizenman
- 23004: Global imbalances and prospects for the world economy

- Steven Dunaway
- 22995: Sub-Prime Financial Crisis and US Policy Choices

- Yonghyup Oh and Wonho Song
- 22977: Financing Strategy for Achievement of the MDGs and Implementation of the Tenth Five Year Plan

- Govinda Rao, Anuradha Seth and Chewang Rinzin
- 22974: Why India choked when Lehman broke

- Ila Patnaik and Ajay Shah
- 22971: Indian Capital Control Liberalization: Evidence from NDF Markets

- Michael Hutchison, Jake Kendall, Gurnain Pasricha and Nirvikar Singh
- 22953: Comparing GDP in constant and in chained prices: Some new results

- Jesus Dumagan
- 22944: Causality between Foreign Direct Investment and Tourism: Empirical Evidence from India

- Saroja Selvanathan, E.A. Selvanathan and Brinda Viswanathan
- 22933: Insecurities of the old and marginalized: Inflation, Oil Shocks, Financial Crisis and Social Security

- Ashima Goyal
- 22932: Global Financial Architecture: past and present arguments, advice, action

- Ashima Goyal
- 22924: Financial Crisis, Trade Finance, and SMEs: Case of Central Asia

- Gloria Pasadilla
- 22910: Japan’s Foreign Direct Investment Experiences in India: Lessons Learnt from Firm Level Surveys

- Srabani Roy Choudhury
- 22909: South-South FDI vs North-South FDI: A Comparative Analysis in the Context of India

- Subhasis Bera and Shikha Gupta
- 22894: Intra-metropolitan Price and Trading Volume Dynamics: Evidence from Hong Kong

- Charles Leung
- 22887: Financial Leverage and Market Volatility with Diverse Beliefs

- Wen-Chung Guo, Frank Yong Wang and Ho-Mou Wu
- 22886: The Role of Convertible Securities in Venture Capital Financing

- Shih-Chung Chang
- 22836: China's Sovereign Wealth Fund: Weakness and Challenges

- Ming Zhang and He Fancass
- 22834: Dragon on a Short Leash: An Inside-Out Analysis of China Investment Corporation

- Sarah Eaton and Ming Zhang
- 22833: Managing Capital Flows: The Case of the People’s Republic of China

- Yongding Yu
- 22825: The Eurozone in the Current Crisis

- Charles Wyplosz
- 22824: Emergence of Rating Agencies: Implications for Establishing a Regional Rating Agency in Asia

- Ying Yi Tsai and Li-Gang Liu