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The Global Capital Market: Benefactor or Menace?. (1998). Obstfeld, Maurice.
In: Center for International and Development Economics Research (CIDER) Working Papers.
RePEc:ucb:calbcd:c98-098.

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  9. Does Globalization Promote Financial Integration in South Asian Economies? Unveiling the Role of Monetary and Fiscal Performance in Internationalization. (2022). Ali, Amjad ; Ehsan, Rehan ; Audi, Marc ; Hamadeh, Hani Fayad.
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  22. The comparative African regional economics of globalization in financial allocation efficiency: the pre-crisis era revisited. (2020). Tchamyou, Vanessa ; Asongu, Simplice ; Nnanna, Joseph.
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  27. Convergence of retail banking interest rates to households in euro area: time-varying measurement and determinants. (2020). Sehgal, Sanjay ; Gupta, Priyanshi.
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    In: CEPR Discussion Papers.
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  38. The Comparative African Regional Economics of Globalization in Financial Allocation Efficiency: Pre-Crisis Era Revisited. (2019). Tchamyou, Vanessa ; Asongu, Simplice ; Nnanna, Joseph.
    In: Working Papers of the African Governance and Development Institute..
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  39. The Comparative African Regional Economics of Globalization in Financial Allocation Efficiency: Pre-Crisis Era Revisited. (2019). Tchamyou, Vanessa ; Asongu, Simplice ; Nnanna, Joseph.
    In: Research Africa Network Working Papers.
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  45. Volatility Risk Pass-through. (2018). Croce, Mariano ; Shaliastovich, Ivan ; Liu, Yang ; Colacito, Riccardo.
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  46. Managing Financial Globalization: Insights from the Recent Literature. (2018). Wei, Shang-Jin.
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  47. The Aggregate and Distributional Effects of Financial Globalization: Evidence from Macro and Sectoral Data. (2018). Ostry, Jonathan ; Loungani, Prakash ; Furceri, Davide.
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  49. Volatility Risk Pass-Through. (2018). Colacito, Riccardo ; Shaliastovich, Ivan ; Liu, Yang ; Croce, Mariano Massimiliano.
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  51. Real Wage Effects of Japan’s Monetary Policy. (2018). Sophia, Latsos.
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  55. Financial Development and Pre-historic Geographical Isolation: Global Evidence. (2017). Tchamyou, Vanessa ; Kodila-Tedika, Oasis ; Asongu, Simplice ; Cinyabuguma, Matthias.
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  56. Financial Globalisation Dynamic Thresholds for Financial Development: Evidence from Africa. (2017). Asongu, Simplice ; de Moor, Lieven.
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  57. Does Capital Scarcity Matter?. (2017). Henry, Peter ; Chari, Anusha ; Moussa, Racha.
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  61. IT Countries: A Breed Apart? the case of Exchange Rate Pass-Through. (2017). Pourroy, Marc ; López Villavicencio, Antonia ; Lopez-Villavicencio, Antonia.
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  83. L’intégration financière internationale : Théories, évidences, et leçons des expériences récentes [International financial integration: Theory, evidence and lessons from recent experiences]. (2015). Agénor, Pierre-Richard ; Agenor, Pierre-Richard.
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  85. Foreign investment and real exchange rate volatility in emerging Asian countries. (2015). Al-Abri, Almukhtar ; Baghestani, Hamid.
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  86. The Comparative African Regional Economics of Globalization in Financial Allocation Efficiency. (2015). Tchamyou, Vanessa ; Asongu, Simplice.
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  87. Financial globalisation uncertainty/instability is good for financial development. (2015). Tchamyou, Vanessa ; Koomson, Isaac ; Asongu, Simplice.
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  88. Financial globalisation dynamic thresholds for financial development: evidence from Africa. (2015). De Moor, Lieven ; Asongu, Simplice.
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  89. The Comparative African Regional Economics of Globalization in Financial Allocation Efficiency. (2015). Tchamyou, Vanessa ; Asongu, Simplice.
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  90. Financial globalisation uncertainty/instability is good for financial development. (2015). Tchamyou, Vanessa ; Asongu, Simplice ; Koomson, Isaac.
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  91. Financial globalisation dynamic thresholds for financial development: evidence from Africa. (2015). Asongu, Simplice ; de Moor, Lieven.
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  93. Financial integration and fragmentation in the euro area. (2014). Ch. Van Nieuwenhuyze, ; M. de Sola Perea, .
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  94. Financial Integration and Growth: A Nonlinear Panel Data Analysis. (2014). Karadam, Duygu Yolcu ; Ocal, Nadir .
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  95. Financial liberalization and capital flight. (2014). Hermes, Niels ; Lensink, Robert.
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  96. Industry co-movement and cross-listing: Do home country factors matter?. (2014). Lee, Chien-Chiang ; Chang, Chi-Hung ; Chen, Mei-Ping.
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  97. Prudential Regulation, Currency Mismatches and Exchange Rate Regimes in Latin America and the Caribbean. (2014). Tobal, Martin.
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  98. MANAGING THE PROCESS OF REMOVING CAPITAL CONTROLS: WHAT DOES THE LITERATURE SUGGEST?. (2014). Moore, Winston.
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  99. Fresh Patterns of Liberalization, Bank Return and Return Uncertainty in Africa. (2014). Asongu, Simplice.
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  100. Fresh Patterns of Liberalization, Bank Return and Return Uncertainty in Africa. (2014). Asongu, Simplice.
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  103. Exchange Rate Pass-Through in Transition Economies: The Case of Republic of Macedonia. (2013). Fetai, Besnik.
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  104. How has politico-economic liberalization affected financial allocation efficiency? Fresh African evidence. (2013). Asongu, Simplice.
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  105. Understanding Spanish Financial crises, 1850-2000: What determined their severity?. (2013). Betran, Concha ; Pons, Maria A..
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  106. How has politico-economic liberalization affected financial allocation efficiency? Fresh African evidence. (2013). Asongu, Simplice.
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  107. Currency Mismatch: New Database and Indicators for Latin America and the Caribbean. (2013). Tobal, Martin.
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  108. Flujos de capitales y fragilidad financiera. (2013). Gomez-Gonzalez, Jose Eduardo ; Salazar, Mauricio ; Restrepo, Sergio ; Silva, Luisa .
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  109. How has politico-economic liberalization affected financial allocation efficiency? Fresh African evidence. (2013). Asongu, Simplice.
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  110. Public debt and financial crises in the twentieth century. (2012). Schularick, Moritz.
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  111. Policy Disciplining Effect of Capital Account Openness in India. (2012). Nair, Lekshmi.
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  112. International Asset Pricing with Recursive Preferences. (2012). Colacito, Riccardo ; Croce, Mariano .
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  113. Financial development dynamic thresholds of financial globalization: evidence from Africa. (2012). Asongu, Simplice.
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  114. Are financial benefits of financial globalization questionable until greater domestic financial development has taken place?. (2012). Asongu, Simplice ; Simplice, Asongu .
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  115. La respuesta de la política fiscal a la actividad económica en los países desarrollados/Fiscal policy reaction to economic activity in developed countries. (2012). CERoN, JUAN A..
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  116. Financial Integration and Fiscal Policy. (2012). ZDZIENICKA, Aleksandra ; Furceri, Davide.
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  117. Yeni Açık Ekonomi Makroiktisat Teorisi ve Para Politikasının Uluslararası Boyutları. (2012). AKORAOLU, Alpaslan .
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  118. Measures of financial openness and interdependence. (2012). Clark, William R..
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  119. Financial development dynamic thresholds of financial globalization: evidence from Africa. (2012). Asongu, Simplice ; Simplice, Asongu .
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  120. Are financial benefits of financial globalization questionable until greater domestic financial development has taken place?. (2012). Asongu, Simplice ; Simplice, Asongu .
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  121. Regional Financial Integration in Sub-Saharan Africa - An Empirical Examination of its Effects on Financial Market Development. (2011). Volz, Ulrich ; FREY, LEO .
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  122. Exchange Rate Pass-Through in Transition Economies: The Case of the Republic of Macedonia. (2011). Fetai, Besnik.
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  123. Harnessing the Forces of Urban Expansion: The Public Economics of Farmland Development Allowances. (2011). Chau, Nancy ; Zhang, Weiwen .
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  124. Why do emerging economies borrow short term?. (2011). Schmukler, Sergio ; Lorenzoni, Guido ; Broner, Fernando.
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  125. The effect of Emu on bond market integration and investor portfolio allocations. (2011). Pieterse-Bloem, M..
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  126. Financial Integration and Economic Growth in the European Transition Economies. (2011). Mirdala, Rajmund.
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  127. Panel data evidence on non-Keynesian efects of fiscal policy in the EU New Member. (2011). Rzońca, Andrzej ; Ciżkowicz, Piotr ; Rzoca, Andrzej ; Cikowicz, Piotr ; Borys, Pawe.
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  128. Inflation Targeting and Monetary Policy Transmission Mechanisms in Emerging Market Economies. (2011). Mukherjee, Sanchita ; Bhattacharya, Rina.
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  129. Emerging Capital Markets and Globalization: The Latin American Experience. (2011). Schmukler, Sergio ; de la Torre, Augusto.
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  130. Whats Wrong with International Financial Markets?. (2011). Hausmann, Ricardo ; Fernandez-Arias, Eduardo ; Fernandez -Arias, Eduardo .
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  131. On Capital Flows and Macroeconomic Performance: Evidence Before and After the Financial Crisis in Turkey. (2011). Kandil, Magda ; Trabelsi, Mohamed ; Diner, Nergiz .
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  132. International Capital Mobility and Factor Reallocation in a Multisector Economy. (2011). Akgul, Zeynep ; Saracoglu, Sirin .
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  133. The International Debt Crisis. (2011). Dymski, Gary .
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  134. Financial integration and emerging markets capital structure. (2011). lucey, brian.
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  135. FINANCIAL GLOBALIZATION AND INFLATION IN DEVELOPING COUNTRIES: A REAPPRAISAL. (2011). Miles, William.
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  136. Globalización financiera y sus efectos sobre el desarrollo financiero. (2011). Tovar-Garcia, Edgar Demetrio.
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  137. AEC 2015: Ambitions, Expectations and Challenges ASEANs Path towards Greater Economic and Financial Integration. (2011). Boonnuch, Charnon ; Jivakanont, Vacharakoon ; Kanithasen, Pariwat .
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  138. Migration of Firms, Home Bias and Economic Growth. (2011). Aharonovitz, Gilad D..
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  139. The Short‐term Determinants of Capital Flows for a Small Open Economy: The Case of Greece. (2011). Pappas, Anastasios.
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  140. MONETARY ASPECTS OF SHORT-TERM CAPITAL INFLOWS IN THE CENTRAL EUROPEAN COUNTRIES. (2010). Mirdala, Rajmund.
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  141. Capital mobility and macroeconomic volatility: evidence from Greece. (2010). Pappas, Anastasios ; Anastasios, Pappas .
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  142. Capital mobility and growth: Evidence from Greece. (2010). Pappas, Anastasios.
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  143. Monetary aspects of short-term capital inflows in the Central European Countries. (2010). Mirdala, Rajmund.
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  144. Managing the Process of Removing Capital Controls: What Does the Literature Suggest?. (2010). Moore, Winston.
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  145. International Capital Mobility and Factor Reallocation in a Multisector Economy. (2010). Saracoğlu, Dürdane ; Saracoglu, Sirin ; Akgul, Zeynep .
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  146. The global slack hypothesis. (2010). Wynne, Mark ; Martínez García, Enrique ; Martinez-Garcia, Enrique.
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  147. Monetary Policy in Emerging Markets. (2010). Frankel, Jeffrey.
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  148. Capital Mobility and Macroeconomic Volatility: Evidence from Greece. (2010). Pappas, Anastasios.
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  149. The Short and Long Run Benefits of Financial Integration. (2010). Croce, Mariano ; Colacito, Riccardo.
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  150. INTERNATIONAL FINANCIAL INTEGRATION AND REAL EXCHANGE RATE LONG-RUN DYNAMICS IN EMERGING COUNTRIES. (2009). Rault, Christophe ; Caporale, Guglielmo Maria ; Amor, Thouraya Hadj.
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  151. Long Term Dynamic of Real Exchange Rate, Trade Liberalization and Financial Integration: The Case of South-East Mediterranean Countries. (2009). Rita, El Araj ; Thouraya, Hadj Amor .
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  152. An institutional analysis of some monetary issues in developing economies. (2009). Vasconcelos, Marcos ; Strachman, Eduardo.
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  153. International Financial Integration and Real Exchange Rate Long-Run Dynamics in Emerging Countries: Some Panel Evidence. (2009). Rault, Christophe ; Caporale, Guglielmo Maria ; Amor, Thouraya Hadj.
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  154. The Macroeconomics of Scaling Up Aid; The Gleneagles Initiative for Benin. (2009). Samake, Issouf ; Mongardini, Joannes.
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  155. Intérêts et limites de la globalisation comme processus créateur dinvestissement. (2009). Pépin, Dominique ; Pepin, Dominique ; Nivoix, Sophie.
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  156. Ready for capital account convertibility?. (2009). Mukerji, Purba .
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  157. Do common currencies facilitate the net flow of capital among countries?. (2009). Slavov, Slavi.
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  158. Default Risk and Risk Averse International Investors. (2009). Lizarazo, Sandra.
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  159. Early, Late, and Multiple Bidding in Internet Auctions. (2009). Vadovic, Radovan.
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  160. International Financial Integration and Real Exchange Rate Long-Run Dynamics in Emerging Countries: Some Panel Evidence. (2009). Rault, Christophe ; Caporale, Guglielmo Maria ; Amor, Thouraya Hadj.
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  161. Financial Integration of Stock Markets among New EU Member States and the Euro Area. (2008). Komarek, Lubos ; Komarkova, Zlatuse ; Babecký, Jan.
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  162. Decomposition of External Capital Inflows and Outflows in the Small Open Transition Economy (The Case Analysis of the Slovak Republic). (2008). Mirdala, Rajmund.
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  163. Risk sharing for the long-run. The benefits from financial integration.. (2008). Colacito, Riccardo.
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  164. Capital Account Liberalization, Real Wages, and Productivity. (2008). Henry, Peter ; Sasson, Diego .
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  165. Intérêts et limites de la globalisation comme processus créateur dinvestissement. (2008). Pepin, Dominique ; Nivoix, Sophie.
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  166. Financial globalization and monetary policy discipline. (2008). Spiegel, Mark.
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  167. Firm-specific information and the efficiency of investment. (2008). Henry, Peter ; Chari, Anusha.
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  168. The anatomy of financial crises: Evidence from the emerging ADR market. (2008). Pasquariello, Paolo.
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  169. Capital Account Liberalization, Real Wages, and Productivity. (2008). Henry, Peter ; Sasson, Diego .
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  170. Globalisation and Wage Differentials: A Spatial Analysis. (2008). Fingleton, Bernard ; Baddeley, Michelle.
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  171. Domestic Savings and Foreign Capital: the Complementarity Channel.. (2008). Kharroubi, Enisse.
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  172. Financial Integration of Stock Markets among New EU Member States and the Euro Area. (2008). Komarek, Lubos ; Babecký, Jan ; Komarkova, Zlatuse ; Babecky, Jan.
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  173. Emerging Capital Markets and Globalization : The Latin American Experience. (2007). de la Torre, Augusto ; Schmukler, Sergio L..
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  174. Firm-Specific Information and the Efficiency of Investment. (2007). Chari, Anusha ; Henry, Peter .
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  175. Capital Account Liberalization: Theory, Evidence, and Speculation. (2007). Henry, Peter .
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  176. Decomposition of external capital inflows and outflows in the small open transition economy (The case analysis of the Slovak republic). (2007). Mirdala, Rajmund.
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  177. Financial sector development and the macrodynamics of ‘de facto’ dollarisation in developing countries: the case of Ghana. (2007). Adenutsi, Deodat ; Yartey, Charles A..
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  178. Why Do Emerging Economies Borrow Short Term?. (2007). Schmukler, Sergio ; Lorenzoni, Guido ; Broner, Fernando.
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  179. Emerging Capital Markets and Globalization: The Latin American Experience. (2007). de la Torre, Augusto ; Schmukler, Sergio .
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  180. Emerging Capital Markets and Globalization: The Latin American Experience. (2007). de la Torre, Augusto ; Schmukler, Sergio .
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  181. Economics Against Democracy. (2007). Branco, Manuel.
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  182. The Logic of Globalization and Substantive Democracy. (2007). Branco, Manuel.
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  183. A regime switching approach to the Feldstein-Horioka puzzle: Evidence from some European countries. (2007). Telatar, Funda ; Bolatoglu, Nasip .
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  184. The determinants of international financial integration. (2007). Vo, Xuan Vinh ; Daly, Kevin James .
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  185. Firm-Specific Information and the Efficiency of Investment. (2007). Henry, Peter ; Chari, Anusha.
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  186. Why Do Emerging Economies Borrow Short Term?. (2007). Schmukler, Sergio ; Lorenzoni, Guido ; Broner, Fernando.
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  187. Financial Globalization, Economic Growth, and Macroeconomic Volatility. (2007). Rincon-Castro, Hernan.
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  188. Financial Integration of Stock Markets among New EU Member States and the Euro Area. (2007). Komarek, Lubos ; Komarkova, Zlatuse ; Babecký, Jan.
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  189. GLOBALIZATION OF THE FINANCIAL MARKETS AND THE APPEARANCE OF CONTEMPORARY FINANCIAL CRISIS. (2007). Boskoska, Meri .
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  190. Financial Globalization, Economic Growth, and Macroeconomic Volatility. (2007). Rincon-Castro, Hernan.
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  192. Financial development in Latin America : big emerging issues, limited policy answers. (2006). Schmukler, Sergio ; Gozzi, Juan Carlos ; de la Torre, Augusto.
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  193. Competitive implications of cross-border banking. (2006). Claessens, Stijn.
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  194. Convergence or Divergence? The Impacts of Globalisation on Growth and Inequality in Less Developed Countries. (2006). Baddeley, Michelle.
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  195. Does globalization affect growth? Evidence from a new index of globalization. (2006). Dreher, Axel.
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  197. Capital Account Liberalization: Theory, Evidence, and Speculation. (2006). Henry, Peter.
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  198. Firm-Specific Information and the Efficiency of Investment. (2006). Henry, Peter ; Chari, Anusha.
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  199. Aid and Economic Development in Africa. (2006). Bigsten, Arne.
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  200. Armutsreduzierung im Zeitalter der Globalisierung. (2006). Klasen, Stephan.
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  201. Capital account liberalization: theory, evidence, and speculation. (2006). Henry, Peter.
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  202. The Political Economy of Democratic Governance and Economic Development. (2006). Branco, Manuel.
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  203. Stock market liberalization and the information environment. (2006). Mao, Connie X. ; Bailey, Warren ; Bae, Kee-Hong .
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  204. Stock market development and internationalization: Do economic fundamentals spur both similarly?. (2006). Schmukler, Sergio ; Claessens, Stijn ; Klingebiel, Daniela .
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  205. Financial globalization and debt maturity in emerging economies. (2006). Schmukler, Sergio ; Vesperoni, Esteban.
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  206. Real macroeconomic stability and the capital account in Chile and Colombia. (2006). Ffrench-Davis, Ricardo ; Gomez, Leonardo Villar.
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  207. Macroeconomic stability and investment allocation of domestic pension funds in emerging economies: the case of Chile. (2006). Zahler, Roberto.
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  208. Overcoming Latin Americas growth frustrations: the macro and mesoeconomic links. (2006). Ocampo, JoseAntonio.
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  209. Macroeconomics for growth under financial globalization: four strategic issues for emerging economies. (2006). Ffrench-Davis, Ricardo.
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  210. Seeking growth under financial volatility. (2006). , .
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  211. Capital Account Liberalization: Theory, Evidence, and Speculation. (2006). Henry, Peter.
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  212. Federalism, Taxation, and Economic Growth. (2006). Hatfield, John .
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  213. Migration of Firms, Home Bias and the Geographical Distribution of Growth. (2006). Aharonovitz, Gilad .
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  214. Investor Protection and International Investment Positions: An Empirical Analysis. (2006). Talan B. İşcan, ; Starky, Sheena ; Cyrus, Teresa L..
    In: International Finance.
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  215. Determinants of bond holdings by foreign investors. (2006). Bae, Kee-Hong ; Bailey, Warren .
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  216. Financial (Dis)Integration.. (2006). Kharroubi, Enisse.
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  217. German bank lending to industrial and non-industrial countries: driven by fundamentals or different treatment?. (2005). Nestmann, Thorsten .
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  218. An Examination of the Asian Crisis: Regime Shifts in Currency and Equity Markets. (2005). Pasquariello, Paolo ; Kallberg, Jarl G..
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  219. The Role of Preference Structure and Moral Hazard in a Multiple Equilibria. Model of Financial Crises. (2005). Masciantonio, Sergio.
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  220. Effects of International Capital Inflows on the Turkish Economy. (2005). AHMET ÇIMENOGLU, ; YENTRK, NURHAN.
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  221. Globalization and its disconnects. (2005). Teitel, Simon.
    In: Journal of Behavioral and Experimental Economics (formerly The Journal of Socio-Economics).
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  222. Capital mobility among advanced countries. (2005). Kant, Chander.
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  223. The welfare effect of international asset market integration under nominal rigidities. (2005). Tille, Cédric.
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  224. A panel study on real interest rate parity in East Asian countries: Pre- and post-liberalization era. (2005). Chan, Tze-Haw ; Fountas, Stilianos ; Baharumshah, Ahmad Zubaidi ; Haw, Chan Tze .
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  225. Exchange rate and monetary regime options for regional cooperation in East Asia. (2005). Kwack, Sung Y..
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  226. Real exchange rate volatility and the choice of regimes in emerging markets. (2005). Osakwe, Patrick ; Agbeyegbe, Temisan.
    In: Journal of Asian Economics.
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  227. Has globalisation reduced monetary policy independence?. (2005). Scatigna, Michela ; Mohanty, M S.
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  228. Does Competition for Capital Discipline Governments? Decentralization, Globalization, and Public Policy. (2005). Treisman, Daniel ; Cai, Hongbin.
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  229. Why do emerging economies borrow short term?. (2004). Schmukler, Sergio ; Lorenzoni, Guido ; Broner, Fernando.
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  230. International Capital Mobility and Aggregate Volatility: the Case of Credit-Rationed Open Economies. (2004). Pintus, Patrick.
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  231. Government–Financial Market Relations after EMU. (2004). .
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  232. The Research Agenda: Craig Burnside on the Causes and Consequences of Twin Banking-Currency Crises. (2004). Burnside, Craig.
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  233. EMU and the New Stabilization State: Demand Disturbances and Asymmetric Responses. (2004). Pelagidis, Theodore ; Pagoulatos, George.
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  234. Is the Invisible Hand Discerning or Indiscriminate? Investment and Stock Prices in the Aftermath of Capital Account Liberalizations. (2004). Henry, Peter ; Chari, Anusha.
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  235. A működőtőke-áramlás a telephelyválasztás elméletének tükrében. (2004). Erdey, Laszlo .
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  236. Does Financial Globalization Induce Better Macroeconomic Policies?. (2004). Tytell, Irina ; Wei, Shang-Jin.
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  237. Real Exchange Rate Volatility and the Choice of Regimes in Emerging Markets. (2004). Osakwe, Patrick ; Agbeyegbe, Temisan.
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  238. How do trade and financial integration affect the relationship between growth and volatility. (2004). Terrones, Marco ; Prasad, Eswar ; Kose, Ayhan.
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  239. Financial globalization: gain and pain for developing countries. (2004). Schmukler, Sergio.
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  240. Government guarantees and self-fulfilling speculative attacks. (2004). Rebelo, Sergio ; Eichenbaum, Martin ; Burnside, Craig.
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  241. Currency crises and contingent liabilities. (2004). Burnside, Craig.
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  242. Perspective Paper on Financial Instability. (2004). Henry, Peter.
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  243. Is the Invisible Hand Discerning or Indiscriminate? Investment and Stock Prices in the Aftermath of Capital Account Liberalizations. (2004). Henry, Peter ; Chari, Anusha.
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  244. Medien und Korruption: die korruptionsenkende Wirkung der Mediennutzung und der neuen Medien. (2004). Graeff, Peter .
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  245. Capital Controls, Risk, and Liberalization Cycles. (2004). Kanczuk, Fabio ; Alfaro, Laura.
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  246. Why Do Emerging Economies Borrow Short Term?. (2004). Broner, Fernando A. ; Schmukler, Sergio L. ; Lorenzoni, Guido.
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  247. Exchange Rate Regimes and Financial Dollarization: Does Flexibility Reduce Bank Currency Mismatches?. (2003). Arteta, Carlos.
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  248. Does Globalization Affect Growth?. (2003). Dreher, Axel.
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  249. Revenue Potential of the Currency Transaction Tax for Development Finance: A Critical Appraisal. (2003). Nissanke, Machiko .
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  250. Short-Run Pain, Long-Run Gain; The Effects of Financial Liberalization. (2003). Schmukler, Sergio ; Kaminsky, Graciela Laura.
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  251. Effects of Economic Freedom on Growth and the Environment - Implications for Cross-Country Analysis. (2003). Lundstrom, Susanna .
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  252. Endogenous deposit dollarization. (2003). Levy Yeyati, Eduardo ; Broda, Christian ; LEVY-YEYATI, EDUARDO.
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  253. Multiple equilibria and currency crisis: evidence for Korea. (2003). Ratti, Ronald ; Seo, Jeonghee.
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  254. Benefits and Costs of International Financial Integration: Theory and Facts. (2003). Agénor, Pierre-Richard ; Agnor, Pierre-Richard .
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  255. A Flexible Modeling Framework to Estimate Interregional Trade Patterns and Input-Output Accounts. (2003). Wang, Zhi ; Canning, Patrick.
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  256. Financial globalization: Unequal blessings. (2002). Schmukler, Sergio ; Levy Yeyati, Eduardo ; de la Torre, Augusto.
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  257. Financial Market Globalization, Symmetry-Breaking, and Endogenous Inequality of Nations. (2002). Matsuyama, Kiminori.
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  258. Globalization, Europeanization and Trade in the 1990s: Export Responses of Foreign and Indigenous Manufacturing Companies. (2002). Ruane, Frances ; Sutherland, Julie.
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  259. Globalization, Europeanization and Trade in the 1990s: Export Responses of Foreign and Indigenous Manufacturing Companies. (2002). Ruane, Frances ; Sutherland, Julie.
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  260. السياسات النقدية في إطار إسلامي. (2002). Al-Jarhi, Mabid.
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  261. Globalisation or regionalism? States, markets and the structure of international trade. (2002). Pelagidis, Theodore ; Papasotiriou, Harry.
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  262. Globalization and Capital Markets. (2002). Taylor, Alan ; Obstfeld, Maurice.
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  263. Containing Contagious Financial Crises: The Political Economy of Joint Intervention into the Asian Crisis.. (2002). Hausken, Kjell ; Plumper, Thomas.
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  264. Globalizing health benefits for developing countries. (2002). Thomas, Marcelle ; Diaz-Bonilla, Eugenio ; Pinstrup-Andersen, Per ; Babinard, Julie .
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  265. Exchange rate regimes and financial dollarization: does flexibility reduce bank currency mismatches?. (2002). Arteta, Carlos.
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  266. Relationship between Different Types of Private Capital Flows to Developing Countries. (2002). Kant, Chander.
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  267. Exchange Rate Regimes and Financial Dollarization: Does Flexibility Reduce Bank Currency Mismatches?. (2002). Arteta, Carlos.
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  268. Financial Globalization: Unequal Blessings.. (2002). Schmukler, Sergio ; Levy Yeyati, Eduardo ; de la Torre, Augusto.
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  269. Der Einfluss der Globalisierung auf staatliche Handlungsspielräume und die Zielverwirklichungsmöglichkeiten gesellschaftlicher Gruppen. (2001). Schratzenstaller, Margit ; Bohnet, Armin.
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  270. Globalization and Firms Financing Choices: Evidence from Emerging Economies. (2001). Schmukler, Sergio ; Vesperoni, Esteban.
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  271. Globalization and Firms Financing Choices; Evidence From Emerging Economies. (2001). Schmukler, Sergio ; Vesperoni, Esteban.
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  272. Domestic Bank Regulation and Financial Crises; Theory and Empirical Evidence From East Asia. (2001). Dekle, Robert ; Kletzer, Kenneth.
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  273. Hedging and financial fragility in fixed exchange rate regimes. (2001). Rebelo, Sergio ; Eichenbaum, Martin ; Burnside, Craig.
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  274. Increasing convergence among European stock markets?: A recursive common stochastic trends analysis. (2001). Rangvid, Jesper .
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  275. Managing Capital Flows: A Distortions Approach. (2001). Wilson, Dominic .
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  276. Currency crises in emerging markets : Capital flows and herding behaviour. (2001). Komulainen, Tuomas .
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  277. Constrained Discretion and Collective Action Problems: Reflections on the Resolution of International Financial Crises. (2001). Fraga, Arminio ; Gleizer, Daniel L..
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  278. The effectiveness of self-protection policies for safeguarding emerging market economies from crises. (2000). Kletzer, Kenneth.
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  279. Do We Have to Consider International Capital Mobility in Trade Models?. (2000). Springer, Katrin .
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  280. From Kuwait to Kosovo: what have we learned; reflections on globalization and peace. (2000). Tamborini, Roberto.
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  281. Gli investimenti di portafoglio nelle economie di mercato emergenti: tendenze, dimensioni e problemi. (2000). Das, Dilip K..
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  282. Managing Capital Flows to Developing Economies: Issues and Policies. (2000). Yap, Josef T..
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  283. International Capital Inflows, Domestic Financial Intermediation and Financial Crises under Imperfect Information. (2000). Kletzer, Kenneth ; Chinn, Menzie.
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  284. Globalization of the Economy. (2000). Frankel, Jeffrey.
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  285. El rediseño de la arquitectura financiera internacional desde la perspectiva latinoamericana: ¿quién paga la cuenta?. (2000). Hausmann, Ricardo ; Fernandez-Arias, Eduardo ; Ricardo Hausmann Author-X-Name_First: Ricardo Auth, .
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  286. The Redesign of the International Financial Architecture from a Latin American Perspective: Who Pays the Bill?. (2000). Hausmann, Ricardo ; Fernandez-Arias, Eduardo ; Ricardo Hausmann Author-X-Name_First: Ricardo Auth, .
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  287. ¿Qué hay de malo con los mercados financieros internacionales?. (2000). Hausmann, Ricardo ; Fernandez-Arias, Eduardo ; Ricardo Hausmann Author-X-Name_First: Ricardo Auth, .
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  288. Whats Wrong with International Financial Markets?. (2000). Hausmann, Ricardo ; Fernandez-Arias, Eduardo ; Ricardo Hausmann Author-X-Name_First: Ricardo Auth, .
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  289. International Capital Flows: Identifying the Gender Dimension. (2000). Singh, Ajit ; Zammit, Ann .
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  290. The timing of exchange rate collapse. (2000). Daniel, Betty.
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  291. Causes of capital flows in developing countries. (2000). Kim, Yoonbai.
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  292. Do stock market liberalizations cause investment booms?. (2000). Henry, Peter ; Blair, Henry Peter.
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  293. The emerging economies in the global financial market: some concluding remarks. (2000). Pietrobelli, Carlo ; Zamagni, Stefano.
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  294. Going with the flow of the market. (2000). Welby, Justin .
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  295. Dealing with the global governance and the dual constituency syndromes in emerging countries. (2000). Sabourin, Louis .
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  296. A challenge to globalization theory. (2000). Pfaff, William .
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  297. Ethics and the financial community. (2000). Hilton, Andrew .
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  298. Why common good matters. (2000). Dherse, Jean-Loup .
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  299. International financial flows: a labour point or view. (2000). Anderson, Luis .
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  300. The responsibility of financial actors. (2000). Caloia, Angelo .
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  301. Economic policy options and financial globalization: Mexico, 1988-99. (2000). de Villarreal, Rocio Ramos .
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