Global Financial Markets Working Paper Series
From Friedrich-Schiller-University Jena
Bibliographic data for series maintained by Marku Pasche ().
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- 51-2014: ISA vs. TARGET2 - Ein Vergleich der Voraussetzungen für den effektiven Ausgleich von Zahlungsüberweisungssalden

- Sebastian Voll
- 49-2013: Monetary Transmission via the Central Bank Balance Sheet

- Stefan Behrendt
- 48-2013: Limits of Monetary Policy Autonomy and Exchange Rate Flexibility by East Asian Central Banks

- Axel Löffler, Gunther Schnabl and Franziska Schobert
- 47-2013: Nominale Abwertung innerhalb einer Währungsunion

- Peter Burgold
- 46-2013: Die Übertragungsanordnung nach §§ 48a ff. KWG: Zur Behandlung im Ausland belegener Ausgliederungsgegenstände

- Matthias Lehmann and Stefan Hoffmann
- 45-2013: Keynesian Dominance in Crisis Therapy

- Kristina Spantig
- 44-2013: Political Aversion To a Multilateral Fiscal Rule: The Dynamic Commitment Problem in European Fiscal Governance

- Matthias Bauer
- 43-2013: Approaches to Shadow Banking Regulation - Monitoring and Policy Framework

- Jenny Poschmann
- 42-2012: Made in the World - Eine Initiative der WTO zur Erneuerung der Außenhandelsstatistik auf Wertschöpfungsbasis

- Martin Klein, Tobias Weirowski and Dmitry Kamenev
- 41-2012: Savings and the Debt Cycle: The Ambiguous Role of Institutions

- Andreas Freytag and Sebastian Voll
- 40-2012: Capital Account Liberalization and Economic Growth in Developing Economies: An Empirical Investigation

- Soumia Zenasni and Abderrezak Benhabib
- 30-2012: Will TARGET2-Balances be Reduced again after an End of the Crisis?

- Christian Fahrholz and Andreas Freytag
- 29-2012: Mythos TARGET2 - ein Zahlungsverkehrssystem in der Kritik

- Peter Burgold and Sebastian Voll
- 28-2012: Das Zahlungsverkehrssystem TARGET2 aus zahlungsbilanztheoretischer Sicht

- Christian Fahrholz
- 27-2012: The Shadow Banking System - Survey and Typological Framework

- Jenny Poschmann
- 26-2012: Monetary Policy Reform in a World of Central Banks

- Gunther Schnabl
- 25-2011: Determinants of Global and Intra-European Imbalances

- Gunther Schnabl and Stephan Freitag
- 21-2011: Realwirtschaftliche Aspekte der gegenwärtigen Krise im Eurosystem: Ursachen, Wirkungen und Reformansätze

- Christian Fahrholz and Andreas Freytag
- 20-2011: Financial market spillovers around the globe

- Thomas Dimpfl and Robert Jung
- 19-2011: National Monetary Policy, Internatinal Economic Instability and Feeback Effects - An Overinvestment View

- Andreas Hoffmann and Gunther Schnabl
- 18-2011: Keynesian and Austrian Perspectives on Crisis, Shock Adjustment, Exchange Rate Regime and (Long-Term) Growth

- Mathilde Maurel and Gunther Schnabl
- 17-2011: Basel III ans Systemic Risk Regulation - What Way Forward?

- Co-Pierre Georg
- 16-2011: Sub-Saharan Africa and G20 Responses to the Global Financial Crises: First, do not harm

- Andreas Freytag, Peter Draper and Matthias Bauer
- 15-2011: A Positive Framework to Analyze Sovereign Bail-outs within the EMU

- Christian Fahrholz and Cezary Wójcik
- 14-2010: Währungskrieg: Schlagwort oder reale Bedrohung?

- Martin Klein and Faxin Teng
- 2014-52: The Fiscal Compact and Current Account Patterns in Europe

- Stefan Behrendt
- 13-2010: The role of the chinese dollar peg for macroeconomic stability in China and the world economy

- Gunther Schnabl
- 2013-50: Der Weg in die Nullzins- und Hochverschuldungsfalle

- Gunther Schnabl
- 12-2010: The effect of the interbank network structure on contagion and financial stability

- Co-Pierre Georg
- 2012-39: The Credit Rating Market - Options for Appropriate Regulation

- Andreas Freytag and Martin Zenker
- 2012-38: Monetäre Staatsfinanzierung und europäische Geld(un)ordnung

- Christian Fahrholz
- 2012-37: Market-based Eurobonds Without Cross-Subsidisation

- Manasa Gopal and Markus Pasche
- 2012-36: Die japanischen Lehren für die europäische Krise

- Gunther Schnabl
- 2012-35: Market Discipline Under A Politicised Multilateral Fiscal Rule - Lessons from the Stability and Growth Pact Debate

- Matthias Bauer and Martin Zenker
- 2012-34: The Credibility of Monetary Policy Announcements - Empirical Evidence for OECD Countries since the 1960s

- Ansgar Belke, Andreas Freytag, Jonas Keil and Friedrich Schneider
- 2012-33: International monetary policy spillovers in an asymmetric world monetary system - The United States and China

- Kristina Spantig
- 2012-32: Minor Nuisance Around Foreign Exchange Markets - Lessons from the Stability and Growth Pact Debate

- Matthias Bauer and Martin Zenker
- 2012-31: Comparing good and bad borrowing in developing countries - a study of twin cases

- Andreas Freytag and Martin Paldam
- 11-2010: 20 Jahre Währungsunion: Nach der Krise ist vor der Krise

- Martin Klein and Diemo Dietrich
- 2011-24: Trade and Unemployment in Germany: An Empirical Exploration and Some Theory

- Martin Klein and Tobias Weirowski
- 2011-23: Triebkräfte und Lösungsansätze globaler und europäischer Leistungsbilanzungleichgewichte

- Gunther Schnabl
- 2011-22: Grundstrukturen der Regulierung der Finanzmärkte nach der Krise

- Matthias Lehmann
- 10-2010: Burying the Stability Pact: The Reanimation of Default Risk in the Euro Area

- Christian Fahrholz and Roman Goldbach
- 09-2009: Sind Chinas Flitterwochen mit dem Dollar vorbei?

- Faxin Teng
- 08-2009: Global Financial Crisis, Protectionism and Current Account Deficit: South Africa on the Brink?

- Andreas Freytag, Sebastian Voll and Peter Draper
- 07-2009: Changes of Own Funds Requirements under the Capital Requirements Directive - Hybrid Instruments

- Mathias Hanten
- 06-2009: European Financial Supervision

- Bart P.M. Joosen
- 05-2009: "Red Star Spangled Banner" Scrutinizing the Root Causes of Financial Crisis

- Christian Fahrholz and Andreas Kern
- 04-2009: International Regulation and Supervision of Financial Markets after the Crisis

- Christoph Ohler
- 03-2009: The International Financial Crisis: The Case of Iceland - Are there Lessons to be Learnt?

- Jon Baldvin Hannibalsson
- 02-2008: After the Crisis is before the Crisis: The Political Economy of Debt Relief

- Andreas Freytag and G. Pehnelt
- 01-2008: Konstitutionelle Grundlagen globalisierter Finanzmärkte - Stabilität und Wandel. Stand und Perspektiven der Forschung

- Andreas Freytag, Walter Bayer, Diemo Dietrich, Robert Jung, Martin Klein, Matthias Lehmann, Christoph Ohler, Matthias Ruffert, Gunther Schnabl and Christian Tietje