Financial globalization, financial crises, and the external portfolio structure of emerging markets
Year of publication: |
2014
|
---|---|
Authors: | Mendoza, Enrique G. ; Smith, Katherine A. |
Published in: |
The Scandinavian journal of economics. - Oxford : Wiley, ISSN 0347-0520, ZDB-ID 8170-X. - Vol. 116.2014, 1, p. 20-57
|
Subject: | Capital controls | financial crisis | financial liberalization | Finanzkrise | Financial crisis | Schwellenländer | Emerging economies | Kapitalverkehrskontrolle | Finanzmarktregulierung | Financial market regulation | Globalisierung | Globalization | Portfolio-Investition | Foreign portfolio investment | Welt | World | Kapitalmobilität | Capital mobility | Internationale Staatsschulden | International sovereign debt | Währungskrise | Currency crisis | Finanzmarkt | Financial market |
-
The more divergent, the better? : lessons on trilemma policies and crises for Asia
Aizenman, Joshua, (2014)
-
Emerging capital markets in turmoil : bad luck or bad policy?
Calvo, Guillermo, (2005)
-
Emerging capital markets in turmoil : bad luck or bad policy
Calvo, Guillermo, (2005)
- More ...
-
Mendoza, Enrique G., (2002)
-
Quantitative implication of a debt-deflation theory of sudden stops and asset prices
Mendoza, Enrique G., (2004)
-
Financial globalization, financial crises, and the external portfolio structure of emerging markets
Mendoza, Enrique G., (2013)
- More ...