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2. Supply vs. Demand Approaches to the Problem of Stagflation
3. Exchange Rates and Economic Recovery in the 1930s
4. Real Exchange Rate Effects of Fiscal Policy
5. Growth and External Debt Under Risk of Debt Repudiation
6. The Dollar and the Policy Mix: 1985
7. Comparing the Performance of Alternative Exchange Arrangements
8. Coordination of Monetary and Fiscal Policies in the OECD
9. Default and Renegotiation of Latin American Foreign Bonds in the Interwar Period
10. Explaining the Japanese financial system: A review of the Bank of Japan's recent volume
11. Japan's financial power
12. The Financial System and Global Socioeconomic Changes
13. The M.I.G.A. and Its Mission
14. Financial Innovation and Endogenous Uncertainty in Incomplete Asset Markets
15. The Term Structure of Forward Exchange Rates and the Forecastability of Spot Exchange Rates: Correcting the Errors
16. Some Thoughts on Japan's Financial Mess
17. Financial Crises in Emerging Markets: The Lessons from 1995
18. How the Japanese financial system and its main bank system have dealt with generic issues of financial development
19. On the Sources of the Inflationary Bias
20. The External Debt Problem in Central America: Honduras, Nicaragua, and the HIPC Initiative
21. The Onset of the East Asian Financial Crisis
22. Currency areas, volatility and intervention
23. Income tax cuts without spending cuts: Hazards to efficiency, equity, employment and growth
24. Modeling model uncertainty
25. Monetary unions and the problem of sovereignty
26. National economic policies, currency areas and Arab monetary integration
27. The birth of coinage
28. The international monetary system at the beginning of the new millennium
29. The international monetary system: quo vadis
30. Capital markets constrain industry scale
31. Interventions and Japanese Economic Recovery
32. Investing in hedge funds and private equity: Viewpoints of U.S. and Japanese institutional investors
33. U.S.-Japan Pension Fund Alternative Investment Conference: The current status of alternative investing and future directions
34. Investing in private equity: The Japan Roundtable on Alternative Investments
35. The role of private equity in Japanese industrial restructuring: The case of Daiei
36. Does a "two-pillar Phillips curve" justify a two-pillar monetary policy strategy?
37. Forecast targeting as a monetary policy strategy: Policy rules in practice
38. Globalization and monetary control
39. How important is money in the conduct of monetary policy?
40. Intertemporal distortions in the second best
41. Investors Unleashed: The Rise of Shareholder Activism in Japan
42. Japan's Economy: The Idiosyncratic Recovery Continues
43. KKR in Asia: A Strategic View
44. Assessing Infrastructure Constraints on Business Activity in Kisumu, Kenya
45. Assessing Infrastructure Constraints on Business Activity in Kumasi, Ghana
46. Brazil, failing to turn the corner . . .
47. The Japanese Government as a Portfolio Manager: Managing the Nation's Wealth
48. America Has Voted: Impact of New U.S. President on Asian Markets
49. Assessing Infrastructure Constraints on Business Activity in Blantyre, Malawi
50. Bamboo Bicycles in Kisumu, Kenya
51. Foreign Direct Investment in Blantyre, Malawi: Opportunities and Challenges
52. History of Russian VAT
53. Investment Opportunities in Mekelle, Tigray State, Ethiopia
54. Korea's Tax System: A Growth-Oriented Choice
55. Overview of Tax Policy in Developing Countries
56. Responding to the Crisis
57. Russian outward FDI and its policy context
58. Taxes and Development: Experience of India vs. China, and Lessons for Other Developing Countries
59. Tax Policy in Argentina: Between Solvency and Emergency
60. Tax Reform in Kenya: Policy and Administrative Issues
61. Tax Structure and Tax Burden in Brazil: 1980-2004
62. Tax System Reform in India
63. Towards Basel III? Regulating the Banking Sector after the Crisis
64. Chile's outward FDI and its policy context
65. International financial architecture seen through the lense of economic crisis: achievements and numerous challenges
66. Inward FDI in Argentina and its policy context
67. Inward FDI in Austria and its policy context, 2010
68. Inward FDI in Belgium and its policy context
69. Inward FDI in Canada and its policy context
70. Inward FDI in Chile and its policy context
71. Inward FDI in China and its policy context
72. Inward FDI in Colombia and its policy context
73. Inward FDI in Germany and its policy context
74. Inward FDI in India and its policy context
75. Inward FDI in Ireland and its policy context
76. Inward FDI in Peru and its policy context
77. Inward FDI in Poland and its policy context
78. Inward FDI in Russia and its policy context
79. La arquitectura financiera internacional: A la luz de la crisis: Algunos logros y numerosos desafios
80. La Gran Recesión y el Mundo en Desarrollo
81. Norwegian outward FDI and its policy context
82. Outward FDI from Canada and its policy context
83. Outward FDI from China and its policy context
84. Outward FDI from Hungary and its policy context
85. Outward FDI from India and its policy context
86. Outward FDI from Ukraine and its policy context
87. Outward FDI in Austria and its policy context, 2010
88. Swiss inward FDI and its policy context
89. Swiss outward FDI and its policy context
90. Taming Finance by Empowering Regulators: A Survey of Policies, Politics and Possibilities
91. The Central-Bank Balance Sheet As an Instrument of Monetary Policy
92. The Financial Stability Board: An Effective Fourth Pillar of Global Economic Governance?
93. The Great Recession and the Developing World
94. Ukraine's inward FDI and its policy context
95. U.S. outward FDI: Current flows lowered in weakened global economy but attraction of emerging markets remains
96. 负责任的商业行为:重塑全球商业
97. 超越国债:美国基础设施的一项外国直接投资项目
98. 零售业外商直接投资与通货膨胀:以印度为例
99. 希腊对巴尔干半岛直接投资:如何受到希腊债务危机的影响?
100. 投资激励和资本全球竞争
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