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Year of publication
Subject
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Financial market regulation 12,560 Finanzmarktregulierung 12,560 Finanzkrise 2,758 Welt 2,756 World 2,755 Financial crisis 2,748 Theorie 1,795 Theory 1,790 Regulierung 1,788 USA 1,695 United States 1,683 Regulation 1,638 Financial market 1,571 Finanzmarkt 1,570 Bank regulation 1,504 Bankenregulierung 1,504 International financial market 1,463 Internationaler Finanzmarkt 1,463 Financial sector 1,415 Finanzsektor 1,415 Capital mobility 1,056 Kapitalmobilität 1,056 Geldpolitik 916 Monetary policy 894 Wirtschaftswachstum 850 Economic growth 848 EU countries 779 EU-Staaten 779 Handelsliberalisierung 702 Trade liberalization 702 Impact assessment 696 Wirkungsanalyse 696 Globalisierung 633 Finanzmarktaufsicht 627 Financial supervision 626 Globalization 622 China 608 Bank 590 Entwicklungsländer 576 Developing countries 565
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Online availability
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Free 3,419 Undetermined 1,401
Type of publication
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Article 6,279 Book / Working Paper 6,237 Journal 50
Type of publication (narrower categories)
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Article in journal 4,760 Aufsatz in Zeitschrift 4,760 Graue Literatur 2,648 Non-commercial literature 2,648 Working Paper 1,970 Arbeitspapier 1,965 Aufsatz im Buch 1,545 Book section 1,545 Collection of articles of several authors 611 Sammelwerk 611 Hochschulschrift 347 Thesis 266 Konferenzschrift 214 Aufsatzsammlung 195 Amtsdruckschrift 173 Government document 173 Conference proceedings 168 Bibliografie enthalten 86 Bibliography included 86 Collection of articles written by one author 83 Sammlung 83 Case study 53 Fallstudie 53 Conference paper 41 Konferenzbeitrag 41 Kommentar 27 Glossar enthalten 26 Glossary included 26 Systematic review 26 Übersichtsarbeit 26 Commentary 25 Handbook 19 Handbuch 19 Festschrift 18 Bibliografie 14 Market information 14 Marktinformation 14 Mehrbändiges Werk 14 Multi-volume publication 14 Advisory report 12
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Language
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English 11,197 German 735 French 258 Spanish 218 Italian 47 Portuguese 34 Russian 32 Polish 27 Dutch 15 Croatian 9 Hungarian 9 Slovenian 6 Ukrainian 5 Serbian 4 Swedish 4 Czech 3 Finnish 3 Undetermined 3 Arabic 1 Bulgarian 1 Danish 1 Norwegian 1 Romanian 1 Slovak 1 Turkish 1 Chinese 1
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Author
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Aizenman, Joshua 79 Buch, Claudia M. 41 Prasad, Eswar S. 41 Arestis, Philip 38 Bekaert, Geert 35 Henry, Peter Blair 33 Harvey, Campbell R. 32 Eichengreen, Barry 30 Chinn, Menzie David 29 Goodhart, Charles A. E. 28 Akyüz, Yılmaz 27 Edwards, Sebastian 27 Itō, Hiro 26 Kawai, Masahiro 25 Schmukler, Sergio L. 25 Claessens, Stijn 23 Demetriades, Panicos O. 23 Pak, Yŏng-chŏl 22 Rajan, Raghuram Govind 22 Westermann, Frank 22 Fischer, Bernhard 21 Kose, M. Ayhan 21 Lundblad, Christian 21 Tornell, Aaron 21 Allen, Franklin 20 Stiglitz, Joseph E. 20 Blundell-Wignall, Adrian 19 Chari, Anusha 19 Park, Cyn-Young 19 Rajan, Ramkishen S. 19 Acharya, Viral V. 18 Ang, James B. 18 Bacchetta, Philippe 18 Caprio, Gerard 18 Fung, Hung-gay 18 Hutchison, Michael M. 18 Levine, Ross 18 Odhiambo, Nicholas M. 18 Ojo D Delaney PhD, Marianne 18 Park, Donghyun 18
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Institution
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National Bureau of Economic Research 123 Internationaler Währungsfonds 48 OECD 32 Internationaler Währungsfonds / Monetary and Capital Markets Department 21 Asian Development Bank 17 SUERF - The European Money and Finance Forum 17 Bank für Internationalen Zahlungsausgleich / Ausschuß für Zahlungsverkehrs- und Abrechnungssysteme der Zentralbanken der Länder der Zehnergruppe 16 International Organization of Securities Commissions 16 Bank für Internationalen Zahlungsausgleich / Währungs- und Wirtschaftsabteilung 15 Bank für Internationalen Zahlungsausgleich / Committee on Payments and Market Infrastructures 14 World Bank 13 Europäische Kommission 11 Basel Committee on Banking Supervision 9 Internationaler Währungsfonds / Monetary and Exchange Affairs Department 8 Bank für Internationalen Zahlungsausgleich / Committee on the Global Financial System 7 Edward Elgar Publishing 7 Institut für Weltwirtschaft 7 Inter-American Development Bank 7 Nomos Verlagsgesellschaft 7 Springer International Publishing 7 World Institute for Development Economics Research 7 Centre for Economic Policy Research 6 USA / General Accounting Office 6 Weltbank 6 Brookings Institution 5 De Nederlandsche Bank 5 Group of Thirty 5 Han gug gae bal yeon gu won 5 Internationaler Währungsfonds / Research Department 5 OECD / Development Centre 5 Rodney L. White Center for Financial Research 5 Springer Fachmedien Wiesbaden 5 The Wharton Financial Institutions Center 5 USA / Congress / Senate / Committee on Banking, Housing and Urban Affairs 5 Weltwirtschaftsforum 5 William Davidson Institute <Ann Arbor, Mich.> 5 Asian Development Bank Institute 4 Banca d'Italia 4 Bank für Internationalen Zahlungsausgleich 4 Coöperatieve Centrale Raiffeisen-Boerenleenbank 4
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Published in...
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Working paper / National Bureau of Economic Research, Inc. 132 NBER working paper series 120 IMF working paper 101 IMF country report 80 The journal of investment compliance 74 Discussion paper / Centre for Economic Policy Research 71 NBER Working Paper 68 Journal of banking & finance 66 Working papers / ADB Institute 65 Journal of international money and finance 63 Policy research working paper : WPS 60 Revue d'économie financière : revue trimestrielle de l'Association d'Economie Financière 54 Journal of securities operations & custody 49 IMF working papers 45 Intereconomics : review of European economic policy 42 Journal of Asian economics 42 The review of financial studies 42 Savings and development : quarterly review 41 The journal of finance : the journal of the American Finance Association 39 Journal of financial economics 36 The journal of futures markets 36 Emerging markets finance & trade : a journal of the Society for the Study of Emerging Markets 33 Journal of development economics 33 Applied economics 32 Wirtschaftsdienst : Zeitschrift für Wirtschaftspolitik 32 World development : the multi-disciplinary international journal devoted to the study and promotion of world development 32 Staff working paper 31 IMF Working Paper 29 SpringerLink / Bücher 29 Journal of banking regulation 27 International review of economics & finance : IREF 26 Journal of financial regulation and compliance : an international journal 26 Journal of financial stability 26 Springer eBook Collection 26 Finance India : the quarterly journal of Indian Institute of Finance 25 BIS working papers 24 The quarterly review of economics and finance : journal of the Midwest Economics Association ; journal of the Midwest Finance Association 24 Discussion papers / CEPR 23 Journal of international economics 23 Journal of international financial markets, institutions & money 23
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Source
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ECONIS (ZBW) 12,560 EconStor 6
Showing 1 - 50 of 12,566
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The adverse effect of contingent convertible bonds on bank stability
Ludolph, Melina - 2022
This paper examines the impact of issuing contingent convertible (CoCo) bonds on bank risk. I apply a matching-based difference-in-differences approach to banklevel data for 246 publicly traded European banks and 61 CoCo issues from 2008−2018. My estimation results reveal that issuing CoCo...
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Central counterparty financial resources for recovery and resolution
Financial Stability Board; Bank für Internationalen …; … - 2022
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The effect of financial inclusion and competitiveness on financial stability : why financial regulation matters in developing countries?
Jungo, João; Madaleno, Mara; Botelho, Anabela - In: Journal of risk and financial management : JRFM 15 (2022) 3, pp. 1-20
This study aims to assess the effect of financial inclusion and competitiveness on banks’ financial stability, considering the moderating role of financial regulation. To do so, we compare the effects of these variables in Sub-Saharan African (SSA) and Latin American and Caribbean (LAC)...
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Interest rate shocks, competition and bank liquidity creation
Kick, Thomas - 2022
We study the effects of interest rate shocks (IRS) on banks’ liquidity creation. A unique supervisory data set from the Deutsche Bundesbank allows identifying banks’ liquidity creation for the real economy and the effects of banking market competition. Here, we employ a novel approach to...
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An assessment of the impact of legal regulation on financial security in OECD countries
Vaitkus, Robertas; Vasiliauskaite, Asta - In: Journal of risk and financial management : JRFM 15 (2022) 2, pp. 1-19
The recurrent economic and financial crises expose the state, enterprises, and households to a range of financial risks and negative financial consequences. As a result, governments are seeking the most efficient measures of legal regulation and other measures ensuring financial security in...
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Role of regulatory governance in financial stability : a comparison of high and low income countries
Ullah, Saif; Hussain, Sayed Irshad; Agha Amad Nabi; … - In: Journal of central banking theory and practice 11 (2022) 1, pp. 207-226
This study explores the effect of regulatory governance on financial stability using cross-sectional data from 55 countries. The findings show that regulatory governance and various subcomponents of regulatory governance are positively correlated with financial stability in the selected...
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Taming the tides of capital : review of capital controls and macroprudential policy in emerging economies
Norring, Anni - 2022
This paper gives an overview on the use of macroprudential policy measures (MPMs) and capital flow management measures (CFMs) by emerging economies, and reviews literature on the effectiveness of these measures in containing the effects of large and volatile capital flows. The main findings of...
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Transparency and collateral : central versus bilateral clearing
Antinolfi, Gaetano; Carapella, Francesca; Carli, Francesco - In: Theoretical economics : TE ; an open access journal in … 17 (2022) 1, pp. 185-217
This paper studies the optimal clearing arrangement for bilateral financial contracts in which an assessment of counterparty credit risk is crucial for efficiency. The economy is populated by borrowers and lenders. Borrowers are subject to limited commitment and hold private information about...
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Gatekeeping the gatekeepers: when big techs and fintechs own banks : benefits, risks and policy options
Zamil, Raihan; Lawson, Aidan - 2022
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High-Frequency Trading (HFT) and market quality research : an evaluation of the alternative HFT proxies
Hossain, Shahadat - In: Journal of risk and financial management : JRFM 15 (2022) 2, pp. 1-31
We examine the soundness of high-frequency trading (HFT) proxies that are widely defined on the limit order book (LOB) information. We use a unique TRTH (Thomson Reuters Tick History) millisecond time-stamped intraday trades and quotes dataset enriched with 10 levels of LOB depth messages for...
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Financial regulation, interest rate responses, and distributive effects
Loenser, Christian; Röttger, Joost; Schabert, Andreas - 2022 - This version: November 18, 2021
This paper examines financial regulation and distortionary taxes in a heterogeneous-agents economy with pecuniary externalities induced by a collateral constraint. Limiting the loan-to-value ratio benefits only few unconstrained borrowers and reduces ex-ante social welfare. A Pigouvianstyle...
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Emission trading and regulation of financial markets : Abschlussbericht
Meyer-Ohlendorf, Nils; Riedel, Arne; Görlach, Benjamin; … - Deutschland / Umweltbundesamt - 2022
Unter dem Eindruck der Finanz- und Wirtschaftskrise hat die EU das Instrumentarium zur Regulierung des Finanzmarktes weiterentwickelt und verschärft. Dieser Prozess hat auch Auswirkungen auf die Akteure am Europäischen Kohlenstoffmarkt und ihre Handelsstrategien. Dieser Abschlussbericht...
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A risky bet : climate change and the eu’s microprudential framework for banks
Smoleńska, Agnieszka; Klooster, Jens van 't - In: Journal of financial regulation 8 (2022) 1, pp. 51-74
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Asymmetric systemic risk
Raykov, Radoslav; Silva-Buston, Consuelo - 2022 - Last updated: May 2, 2022
Bank regulation is based on the premise that risks spill over more easily from large banks to the banking system than vice versa. On the contrary, we document that risk transmission is stronger in the system-to-bank direction. We term this asymmetric systemic risk, measure it with net exposure...
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Impact of recent Chinese stock market liberalization : history and literature review
Chen, Shimin; Ni, Serene; Tong, Yixing - 2022
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Banking in the shadow of Bitcoin? : the institutional adoption of cryptocurrencies
Auer, Raphael A.; Farag, Marc; Lewrick, Ulf; Orazem, Lovrenc - 2022
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Watch what they do, not what they say : estimating regulatory costs from revealed preferences
Alvero, Adrien; Ando, Sakai; Xiao, Kairong - 2022
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Usability of bank capital buffers : the role of market expectations
Abad, José M.; Garcia Pascual, Antonio - 2022
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Democratic political economy of financial regulation
Livshits, Igor; Park, Youngmin - 2022
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Financial openness and inequality
Avdjiev, Stefan; Spasova, Tsvetana - 2022
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Market manipulation around seasoned equity offerings : evidence prior to the global financial crisis of 2007-2009
Charoenwong, Charlie; Ding, David K.; Wang, Ping - In: International Journal of Financial Studies : open … 10 (2022) 2, pp. 1-27
Since the adoption of the SEC's Rule 10b-21 in 1988, many researchers have been concerned over the effectiveness of short sales constraints in preventing manipulative trading in the derivatives market. We analyze whether options can be used as synthetic short sale instruments to manipulate stock...
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Regulation and Supervision of Fintech : Considerations for EMDE Policymakers
World Bank - 2022
Fintech is transforming the global financial landscape. It is creating new opportunities to advance financial inclusion and development in Emerging Markets and Developing Economies (EMDEs), but also presents risks that require updated supervision policy frameworks. Fintech encompasses new...
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Financial Consumer Protection and Fintech : An Overview of New Manifestations of Consumer Risks and Emerging Regulatory Approaches
World Bank - 2022
This note provides: (1) an overview of new manifestations of consumer risks that are significant and cross-cutting across four key fintech products: digital microcredit, P2PL, investment-based crowdfunding, and e-money; and (2) examples of emerging regulatory approaches to target such risks....
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Financial stability of Asian Nations : overnance quality and financial inclusion
Md. Isa, Abu Hassan; Khan, Mubashir Ali - In: Borsa Istanbul Review 22 (2022) 2, pp. 377-387
This study investigates the role of governance quality in maintaining financial stability and enhancing financial inclusion in Asian countries using the stakeholder theory. Composite variables were constructed for the governance quality, financial stability, and financial inclusion dimensions...
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Retaining influence in post-Brexit international financial regulation : lessons from the UK's FinTech framework
In: Journal of financial regulation 8 (2022) 1, pp. 104-131
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The effect of capital account liberalization on income inequality, focusing on South Asia
Hossain, Ridwan Mosharraf; Sakib-Bin-Amin - In: International journal of economics and financial issues … 12 (2022) 3, pp. 121-132
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Reconsidering Creditor Governance in a Time of Financial Alchemy
McClane, Jeremy - 2021
For many years corporate lenders have been a crucial force in the boardroom, providing a check on management and contributing to firm governance. However, lenders’ influence has receded in recent years for a large and important class of corporate borrowers. The culprit is a familiar one in a...
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Financial and Macroeconomic Implications : Stock Market Liberalizations
Funke, Norbert - 2021
Using a panel of 27 countries, we analyze the effects of stock market liberalization on financial and macroeconomic development. We find that liberalization is associated with a short-term increase in real private investment growth of about 14 percentage points cumulatively in the four years...
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Endogenous Financial Openness : Efficiency and Political Economy Considerations
Aizenman, Joshua; Noy, Ilan - 2021
This paper studies the endogenous determination of financial openness. We outline a framework where financial openness is endogenously determined by the authority's choice of financial repression as a taxation device, and where the private sector determines endogenously the magnitude of capital...
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Capital Controls and the Global Financial Cycle
Lovchikova, Marina; Matschke, Johannes - 2021
Capital flows into emerging markets are volatile and associated with risks. A common prescription is to impose counter-cyclical capital controls that tighten during economic booms to mitigate future sudden-stop dynamics, but it has been challenging to document such patterns in the data. Instead,...
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Financial Regulation in General Equilibrium
Goodhart, Charles; Kashyap, Anil K.; Tsomocos, Dimitrios P. - 2021
This paper explores how different types of financial regulation could combat many of the phenomena that were observed in the financial crisis of 2007 to 2009. The primary contribution is the introduction of a model that includes both a banking system and a "shadow banking system" that each help...
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Crises and Sudden Stops : Evidence from International Bond and Syndicated-Loan Markets
Kaminsky, Graciela - 2021
The crises in Mexico, Thailand, and Russia in the 1990s spread quite rapidly to countries as far apart as South Africa and Pakistan. In the aftermath of these crises, many emerging economies lost access to international capital markets. Using data on international primary issuance, this paper...
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Tariff Liberalization Policy and Financial Restrictions
Aizenman, Joshua - 2021
The purpose of this paper is to assess how restrictions on capital mobility affect adjustment to a tariff liberalization policy. This is done by comparing the adlustment process under free and restricted convertibility of foreign assets in a regime where the commercial exchange rate is pegged....
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Financial Reforms and Capital Flows : Insights from General Equilibrium
Martin, Alberto; Ventura, Jaume - 2021
As a result of debt enforcement problems, many high-productivity firms in emerging economies are unable to pledge enough future profits to their creditors and this constrains the financing they can raise. Many have argued that, by relaxing these credit constraints, reforms that strengthen...
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The Trilemma in History : Tradeoffs Among Exchange Rates, Monetary Policies, and Capital Mobility
Obstfeld, Maurice; Shambaugh, Jay; Taylor, Alan M. - 2021
The exchange-rate regime is often seen as constrained by the monetary policy trilemma, which imposes a stark tradeoff among exchange stability, monetary independence, and capital market openness. Yet the trilemma has not gone without challenge. Some (e.g., Calvo and Reinhart 2001, 2002) argue...
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Financial Crises and Reform of the International Financial System
Fischer, Stanley - 2021
Between December 1994 and March 1999, Mexico, Thailand, Indonesia, Korea, Malaysia, Russia and Brazil experienced major financial crises which were associated with massive recessions and extreme movements of exchange rates. Similar crises have threatened Turkey and Argentina (2000 and 2001) and...
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Effects of Capital Account Liberalization on Emerging Stock Market : Evidence from China’s Shanghai - Hong Kong Stock Connect
Xiao, Fengjuan - 2021
This study seeks to figure out the effects of China’s capital account liberalization on its stock market returns and volatility. We take China’s Shanghai – Hong Kong Stock Connect as a representation of China’s capital account liberalization. We also take the Shanghai Stock Exchange...
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India's Approach to Open Banking : Some Implications for Financial Inclusion
Carriere-Swallow, Yan; Haksar, Vikram; Patnam, Manasa - 2021
We examine how the development of the digital infrastructure known as the “India Stack”—including an interoperable payments system, a universal digital ID, and other features—is delivering on the government’s objective to expand the provision of financial services. While each...
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The Effects of Bank Regulation on Financial Development in the MENA Countries : The Supporting Role of Supervision
Azmeh, Chadi - 2021
This study investigates the impact of bank regulation on financial development in the MENA countries for the period 1995-2014. Restrictions on activity, foreign banks, and capital were used as proxies for bank regulation. Also, bank supervisory power, independence, private monitoring, and moral...
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Financial Openness and Productivity
Bekaert, Geert; Harvey, Campbell R.; Lundblad, Christian T. - 2021
Financial openness is often associated with higher rates of economic growth. We show that the impact of openness on factor productivity growth is more important than the effect on capital growth. This explains why the growth effects of liberalization appear to be largely permanent, not...
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US banks efficiency after global financial crisis : transient and persistent decomposition
Ferrara, Giancarlo; Kounetas, Konstantinos - 2021
The Global Financial Crisis creates liquidity shocks, banks failures and a global economic downturn while led to significant supervisory and regulatory reforms affecting banks efficiency performance. We offer new insights investigating overall inefficiency and by decomposing into transient and...
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Thailand : Implications of Regional Financial Integration
Wu, Yiqun; Wu, Sharon Xiaohui - 2021
Despite substantial progress in regional integration in recent years, financial integration in ASEAN has yet to catch up. Our analysis finds that improving regulatory and institutional quality and reducing restrictions on capital flows can promote regional financial integration. The empirical...
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Financial Liberalization in Latin-America in the 1990s : A Reassessment
Aizenman, Joshua - 2021
This paper studies the experience of Latin-America [LATAM] with financial liberalization in the 1990s. The rush towards financial liberalizations in the early 1990s was associated with expectations that external financing would alleviate the scarcity of saving in LATAM, thereby increasing...
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Regulating Big Techs in Finance
Carstens, Agustín; Claessens, Stijn; Restoy, Fernando; … - 2021
Big tech firms entering financial services can scale up rapidly with user data from their existing business lines in e-commerce and social media, and by harnessing the inherent network effects in digital services.In addition to traditional policy concerns such as financial risks, consumer...
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Endogenous Financial and Trade Openness
Aizenman, Joshua; Noy, Ilan - 2021
This paper studies the endogenous determination of financial and trade openness. First, we outline a theoretical framework leading to two-way feedbacks between the different modes of openness; next, we identify these feedbacks empirically. We find that one standard deviation increase in...
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Dodd-Frank and Unlimited Deposit Insurance
Stone, Anna-Leigh - 2021
This paper is the first to examine the unlimited deposit insurance on noninterest-bearing transaction accounts (NIBTAs) provided by Section 343 of the Dodd-Frank Wall Street Reform and Consumer Protection Act (Dodd-Frank). During Dodd-Frank, banks had a smaller ratio of NIBTAs compared to later...
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This Is the Way the World Ends, Not with a Bang but Bonds and Bullets
Chen, James Ming - 2021
This article explores instinctive frames of human decision-making in environmental and resource economics. Higher-moment asset pricing combines rational, mathematically informed economic reasoning with psychological and biological insights. Leptokurtic blindness and skewness preference combine...
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Capital, Ideology, and the Liberal Order
Cowen, Nick; Geloso, Vincent - 2021
Thomas Piketty’s Capital and Ideology (2020) offers a powerful critique of ideological justifications for inequality in capitalist societies. Does this mean we should reject capitalist institutions altogether? This paper defends some aspects of capitalism by explaining the epistemic function...
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Liberal Property and Just Markets
Dagan, Hanoch - 2021
This short essay is my contribution to the third issue of the Revue Européenne du Droit, which will be dedicated to the possible, desirable or misguided, transformation of some fundamental aspects of the functioning of the market economy. It heavily draws on "A Liberal Theory of Property"
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On the Hidden Links between Financial and Trade Opening
Aizenman, Joshua - 2021
This paper investigates the association between commercial and financial openness of developing countries. The data suggest that, controlling for GDP/Capita changes and allowing for country specific effects, increase in a developing country's (exports + imports)/GDP is associated with a highly...
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