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Citations in EconPapers for
Tullio Jappelli and Marco Pagano,
(2008),
Financial Market Integration Under EMU, CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy
55 citing papers found in EconPapers
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11121314151
Antonin, Céline; Christophe Blot; Jerome Creel; Fabien Labondance; Vincent Touzé and Paul Hubert,
(2014),
Comment lutter contre la fragmentation du système bancaire de la zone euro, Post-Print, HAL
Antonin, Céline; Christophe Blot; Jerome Creel; Fabien Labondance; Vincent Touzé and Paul Hubert,
(2014),
Comment lutter contre la fragmentation du système bancaire de la zone euro, SciencePo Working papers Main, HAL
Ardakani, Omid M.; N Kishor and Suyong Song,
(2024),
Does membership of the EMU matter for economic and financial outcomes?, Contemporary Economic Policy, 42, (3), 416-447
Armin, Saeed; Saifuzzaman Ibrahim and W.N.w Azman-Saini,
(2013),
The Impact of European Monetary Union on Finance-Growth Nexus, Transition Studies Review, 19, (3), 347-356
Beck, Krzysztof and Piotr Stanek,
(2019),
Globalization or Regionalization of Stock Markets? the Case of Central and Eastern European Countries, Eastern European Economics, 57, (4), 317-330
Bekaert, Geert; Campbell Harvey; Christian Lundblad and Stephan Siegel,
(2013),
The European Union, the Euro, and equity market integration, Journal of Financial Economics, 109, (3), 583-603
Bertola, Giuseppe,
(2008),
Labour Markets in EMU - What has Changed and What Needs to Change, No 7049, CEPR Discussion Papers, C.E.P.R. Discussion Papers
Bertola, Giuseppe,
(2008),
Labour Markets in EMU - What has changed and what needs to change, No 338, European Economy - Economic Papers 2008 - 2015, Directorate General Economic and Financial Affairs (DG ECFIN), European Commission
Bhatt, Vipul; N Kishor and Jun Ma,
(2017),
The impact of EMU on bond yield convergence: Evidence from a time-varying dynamic factor model, Journal of Economic Dynamics and Control, 82, (C), 206-222
Boukhatem, Jamel; Zied Ftiti and Jean Michel Sahut,
(2021),
Bond market and macroeconomic stability in East Asia: a nonlinear causality analysis, Annals of Operations Research, 297, (1), 53-76
Bris, Arturo; Yrjö Koskinen and Mattias Nilsson,
(2011),
The euro and corporate financing, No 6/2011, Bank of Finland Research Discussion Papers, Bank of Finland
Bua, Giovanna and Carmine Trecroci,
(2016),
International Equity Markets Interdependence: Bigger Shocks or Contagion in the 21st Century?, MPRA Paper, University Library of Munich, Germany
Böninghausen, Benjamin and Matthias Köhler,
(2012),
Diversification and determinants of international credit portfolios: Evidence from German banks, No 28/2012, Discussion Papers, Deutsche Bundesbank
Böninghausen, Benjamin and Matthias Köhler,
(2015),
Diversification and determinants of international credit portfolios: Evidence from German banks, International Review of Economics & Finance, 39, (C), 57-75
Christev, Atanas and Jacques Melitz,
(2010),
EMU, EU, Capital Market Integration and Consumption Smoothing, No 2010-06, Working Papers, Center for Research in Economics and Statistics
Christev, Atanas and Jacques Melitz,
(2011),
EMU, EU, Market Integration and Consumption Smoothing, Working Papers, CEPII research center
Christev, Atanas and Jacques Melitz,
(2012),
EMU, EU, Market Integration and Consumption Smoothing, No 2012-76, SIRE Discussion Papers, Scottish Institute for Research in Economics (SIRE)
Christev, Atanas and Jacques Melitz,
(2012),
EMU, EU, Market Integration and Consumption Smoothing, No 1209, Heriot-Watt University Economics Discussion Papers, Department of Economics, School of Management and Languages, Heriot Watt University
Christev, Atanas and Jacques Melitz,
(2013),
EMU, EU, Market Integration and Consumption Smoothing, Open Economies Review, 24, (5), 789-818
Cimadomo, Jacopo; Esther Gordo Mora and Alessandra Anna Palazzo,
(2022),
Enhancing private and public risk sharing: lessons from the literature and reflections on the COVID-19 crisis, No 306, Occasional Paper Series, European Central Bank
Cortina, Juan J.; Tatiana Didier and Sergio Schmukler,
(2021),
Global corporate debt during crises: Implications of switching borrowing across markets, Journal of International Economics, 131, (C)
de Sola Perea, M. and Ch. Van Nieuwenhuyze,
(2014),
Financial integration and fragmentation in the euro area, Economic Review, (i), 99-125
Gajewski, Krzysztof; Krzysztof Olszewski; Małgorzata Pawłowska; Wojciech Rogowski; Grzegorz Tchorek and Jolanta Zięba,
(2012),
Integracja finansowa w Europie po wprowadzeniu euro. Przegląd literatury, MPRA Paper, University Library of Munich, Germany
Islami, Mevlud and Paul Welfens,
(2013),
Financial market integration, stock markets and exchange rate dynamics in Eastern Europe, International Economics and Economic Policy, 10, (1), 47-79
Kok, Christoffer and Josep Maria Puigvert Gutiérrez,
(2006),
Euro area banking sector integration: using hierarchical cluster analysis techniques, No 627, Working Paper Series, European Central Bank
Kurach, Radoslaw,
(2011),
Eurozone stock returns co-movement:: Some findings for portfolio managers and central bankers, Business and Economic Horizons (BEH), 05, (2), 12
Kurach, Radosław,
(2011),
Eurozone stock returns co-movement: Some findings for portfolio managers and central bankers, Business and Economic Horizons (BEH), 5, (2), 1-12
Kurach, Radosław,
(2013),
Does Beta Explain Global Equity Market Volatility – Some Empirical Evidence, Contemporary Economics, 7, (2)
Lane, Philip,
(2008),
EMU and Financial Integration, The Institute for International Integration Studies Discussion Paper Series, IIIS
Leschinski, Christian; Michelle Voges and Philipp Sibbertsen,
(2021),
Integration and Disintegration of EMU Government Bond Markets, Econometrics, 9, (1), 1-17
Marzovilla, Olga and Marco Mele,
(2014),
Euro crisis or European governance crisis?, RIEDS - Rivista Italiana di Economia, Demografia e Statistica - The Italian Journal of Economic, Demographic and Statistical Studies, 68, (1), 191-198
Maurin, Laurent; Enrico Minnella and Alfred Lake,
(2024),
Estimating financial integration in Europe: How to separate structural trends from cyclical fluctuations, The Quarterly Review of Economics and Finance, 95, (C), 85-97
Melitz, Jacques and Atanas Christev,
(2010),
EMU, EU, capital market integration and consumption smoothing, No 7776, CEPR Discussion Papers, C.E.P.R. Discussion Papers
Morosan, Gheorghe,
(2014),
INTEGRATION OF THE ROMANIAN RETAIL BANKING SYSTEM IN EU. THE INTEREST RATES CONVERGENCE, Annals - Economy Series, 4, 45-59
Pak, Olga and Kenji Iwata,
(2020),
A path to financial integration: steps for the Eurasian Economic Union, Asia Europe Journal, 18, (1), 99-115
Pieterse-Bloem, Mary; Zhaowen Qian; Willem Verschoor and Remco Zwinkels,
(2016),
Time-varying importance of country and industry factors in European corporate bonds, Journal of Empirical Finance, 38, (PA), 429-448
Portes, Richard,
(2010),
Comment on "Why the European Securities Market Is Not Fully Integrated" in , NBER Chapters, National Bureau of Economic Research, Inc
Pungulescu, Crina,
(2013),
Measuring financial market integration in the European Union: EU15 vs. New Member States, Emerging Markets Review, 17, (C), 106-124
Pérez, Daniel; Vicente Salas-Fumás and Jesús Saurina,
(2005),
Banking integration in Europe, No 0519, Working Papers, Banco de España
Regling, Klaus; Servaas Deroose; Reinhard Felke and Paul Kutos,
(2010),
The Euro After Its First Decade: Weathering the Financial Storm and Enlarging the Euro Area, Governance Working Papers, East Asian Bureau of Economic Research
Regling, Klaus; Servaas Deroose; Reinhard Felke and Paul Kutos,
(2010),
The Euro After Its First Decade: Weathering the Financial Storm and Enlarging the Euro Area, No 205, ADBI Working Papers, Asian Development Bank Institute
Santos Silva, João and Silvana Tenreyro,
(2010),
Currency Unions in Prospect and Retrospect, Annual Review of Economics, 2, (1), 51-74
Santos Silva, João and Silvana Tenreyro,
(2010),
Currency Unions in Prospect and Retrospect, No 7824, CEPR Discussion Papers, C.E.P.R. Discussion Papers
Santos Silva, João and Silvana Tenreyro,
(2010),
Currency Unions in Prospect and Retrospect, CEP Discussion Papers, Centre for Economic Performance, LSE
Santos Silva, João and Silvana Tenreyro,
(2010),
Currency unions in prospect and retrospect, LSE Research Online Documents on Economics, London School of Economics and Political Science, LSE Library
Schmitz, Birgit and Jürgen von Hagen,
(2011),
Current account imbalances and financial integration in the euro area, Journal of International Money and Finance, 30, (8), 1676-1695
Siegel, Stephan; Christian Lundblad; Campbell Harvey and Geert Bekaert,
(2011),
The European Union, the Euro, and Equity Market Integration, No 468, 2011 Meeting Papers, Society for Economic Dynamics
Spiegel, Mark,
(2008),
Monetary and financial integration in the EMU: Push or pull?, No 2008-11, Working Paper Series, Federal Reserve Bank of San Francisco
Spiegel, Mark,
(2009),
Monetary and Financial Integration in the EMU: Push or Pull?, Review of International Economics, 17, (4), 751-776
Spiegel, Mark,
(2009),
Monetary and financial integration: Evidence from the EMU, Journal of the Japanese and International Economies, 23, (2), 114-130
Syngelaki, Eirini,
(2010),
Linkages between Excess Currency and Stock Market Returns:Granger Causality in Mean and Variance, Economics Department Working Paper Series, Department of Economics, National University of Ireland - Maynooth
von Hagen, Juergen and Birgit Schmitz,
(2009),
Current Account Imbalances and Financial Integration in the Euro Area, No 7262, CEPR Discussion Papers, C.E.P.R. Discussion Papers
Weber, Sebastian,
(2009),
European Financial Market Integration: A Closer Look at Government Bonds in Eurozone Countries, No 1.1b, Working Paper / FINESS, DIW Berlin, German Institute for Economic Research
Zaghini, Andrea,
(2016),
Fragmentation and heterogeneity in the euro-area corporate bond market: Back to normal?, Journal of Financial Stability, 23, (C), 51-61
Zahid, R. M. Ammar and Can Simga‐Mugan,
(2024),
The impact of International Financial Reporting Standards adoption on the integration of capital markets, International Journal of Finance & Economics, 29, (1), 229-250
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