Content
February 2011, Volume 22, Issue 1
- 17-38 Catching Up or Pulling Away: Intra-Industry Trade, Productivity Gaps and Heterogeneous Firms
by Rod Falvey & David Greenaway & Zhihong Yu - 39-52 Inflation and Welfare in Latin America
by Kazem Yavari & Apostolos Serletis - 53-91 How Sensitive is U.S.-Canadian Trade to the Exchange Rate: Evidence from Industry Data
by Mohsen Bahmani-Oskooee & Marzieh Bolhasani - 93-117 Sorting It Out: Technical Barriers to Trade and Industry Productivity
by Gabriel Felbermayr & Benjamin Jung - 119-142 How Pervasive is the World Business Cycle?
by Pedro Cerqueira - 143-161 The International Reserves Issue in the EMU
by Jørgen Hansen & Roswitha King & Virmantas Kvedaras - 163-178 Uncertainty and Fiscal Policy in an Asymmetric Monetary Union
by Carsten Hefeker & Blandine Zimmer
November 2010, Volume 21, Issue 5
- 629-654 The International Transmission of Monetary Policy in a Dollar Pricing Model
by Juha Tervala - 655-677 The Impact of Monetary and Commodity Fundamentals, Macro News and Central Bank Communication on the Exchange Rate: Evidence from South Africa
by Balázs Égert - 679-704 PPP: Delusion or Reality? Evidence from a Nonlinear Analysis
by Juan Jiménez-Martin & M. Robles-Fernandez - 705-730 Risk Sharing: A Long Run Issue?
by Eleonora Pierucci & Luigi Ventura - 731-750 What Makes Currencies Volatile? An Empirical Investigation
by Michael Bleaney & Manuela Francisco - 751-770 Attitudes Towards Foreign Products and Welfare with Capital Mobility
by Jean-Marc Callois & Carl Gaigné
September 2010, Volume 21, Issue 4
- 483-514 Labour Market Asymmetries in a Monetary Union
by Torben Andersen & Martin Seneca - 515-546 Deflation, Productivity Shocks and Gold: Evidence from the 1880–1914 Period
by Michael Bordo & John Landon-Lane & Angela Redish - 547-564 Testing the Taylor Model Predictability for Exchange Rates in Latin America
by Marcelo Moura - 565-588 Skilled Migration and Business Networks
by Frédéric Docquier & Elisabetta Lodigiani - 589-605 Surges and Sudden Stops of Capital Flows to Emerging Markets
by Ozan Sula - 607-628 German, US and Central and Eastern European Stock Market Integration
by Manolis Syllignakis & Georgios Kouretas
July 2010, Volume 21, Issue 3
- 335-350 Fiscal Shocks and The Sectoral Composition of Output
by Agustín Bénétrix & Philip Lane - 351-364 Some Unpleasant Consequences of EMU
by Michael Wickens - 365-391 Productivity, Preferences and UIP Deviations in an Open Economy Business Cycle Model
by Arnab Bhattacharjee & Jagjit Chadha & Qi Sun - 393-412 Do Sovereign Defaults Hurt Exporters?
by Eduardo Borensztein & Ugo Panizza - 413-431 Financial Markets and International Risk Sharing
by Martin Schmitz - 433-447 Profit-Enhancing Parallel Imports
by Noriaki Matsushima & Toshihiro Matsumura - 449-463 An Interpretation of the Collapsing Process of the Bretton Woods System
by Chih-huan Chen & Ching-chong Lai - 465-482 Macro Prudential Supervision in the Open Economy, and the Role of Central Banks in Emerging Markets
by Joshua Aizenman
April 2010, Volume 21, Issue 2
- 187-199 Policy Responses to Exchange-rate Movements
by Laurence Ball - 201-219 Do Institutions Matter for Foreign Direct Investment?
by Fathi Ali & Norbert Fiess & Ronald MacDonald - 221-236 The Effects of Inflation in a Small Open Economy with Durability in Consumption
by Arman Mansoorian & Mohammed Mohsin - 237-261 Does Cultural Distance Hinder Trade in Goods? A Comparative Study of Nine OECD Member Nations
by Bedassa Tadesse & Roger White - 263-292 Banking Sector Fragility and the Transmission of Currency Crises
by Allard Bruinshoofd & Bertrand Candelon & Katharina Raabe - 293-308 Temporary Migration and Foreign Direct Investment
by Daniela Federici & Marilena Giannetti - 309-333 Canada and the IMF: Trailblazer or Prodigal Son?
by Michael Bordo & Tamara Gomes & Lawrence Schembri
February 2010, Volume 21, Issue 1
- 1-1 Special Issue on Open Economy Models
by Harris Dellas & Patrick Minford - 3-16 Price Stability and the Case for Flexible Exchange Rates
by Nicolas Cuche-Curti & Harris Dellas & Jean-Marc Natal - 17-21 Comment on “Price Stability and the Case for Flexible Exchange Rates”
by Max Gillman - 23-44 Two Orthogonal Continents? Testing a Two-country DSGE Model of the US and the EU Using Indirect Inference
by Vo Le & David Meenagh & Patrick Minford & Michael Wickens - 45-47 “Two Orthogonal Continents? Testing a Two-country DSGE Model of the US and the EU Using Indirect Inference” by Mai Le, David Meenagh, Patrick Minford and Mike Wickens: Discussion
by James Davidson - 49-64 Government Purchases and the Real Exchange Rate
by Robert Kollmann - 65-67 Government Purchases and the Real Exchange Rate: A Comment
by Parantap Basu - 69-86 Hours Worked and Permanent Technology Shocks in Open Economies
by Martial Dupaigne & Patrick Fève - 87-89 Hours Worked and Permanent Technology Shocks in Open Economies
by Fabrice Collard - 91-103 The Fisher Effect Puzzle: A Case of Non-Linear Relationship?
by Stephen Hall & George Hondroyiannis & P. Swamy & George Tavlas - 105-108 Discussion of the Fisher Effect Puzzle: A Case of Non-Linear Relationship
by Peter Smith - 109-126 Wage and Price Rigidity in a Monetary Union
by Bernardino Adao & Isabel Correia & Pedro Teles - 127-145 A Model for Monetary Policy Analysis for Sub-Saharan Africa
by Romain Houssa & Christopher Otrok & Radu Puslenghea - 147-150 Regulatory Failure in the Subprime Crisis
by Michael Beenstock - 151-157 Competition, Innovation and Financial Crises: A Perspective on the Current Financial Market Turmoil
by Heather Gibson - 159-161 Long Term Reform and the Banking Crisis
by Jacques Melitz - 163-166 Sexism and the City: Irrational Behaviour, Cognitive Errors and Gender in the Financial Crisis
by Anne Sibert - 167-174 The Fragility of the Eurozone’s Institutions
by Paul De Grauwe - 175-182 The 2007–2009 Financial Crisis and the European Central Bank
by Benoit Mojon - 183-185 Is the Euro the Success that Everyone Seems to Think?
by Mike Wickens
November 2009, Volume 20, Issue 5
- 589-605 Fundamentals and Technical Trading: Behavior of Exchange Rates in the CEECs
by Mikael Bask & Jarko Fidrmuc - 607-630 The Output Effects of Money Growth Uncertainty: Evidence from a Multivariate GARCH-in-Mean VAR
by Apostolos Serletis & Sajjadur Rahman - 631-643 Real Exchange Rates, Valuation Effects and Growth in Emerging Markets
by Michael Bleaney & Liliana Castilleja Vargas - 645-682 Comparing Exchange Market Pressure across Five African Countries
by Jorge Braga de Macedo & Luis Pereira & Afonso Reis - 683-716 The Yield Curve as a Predictor and Emerging Economies
by Arnaud Mehl - 717-732 Export and Strategic Currency Hedging
by Udo Broll & Peter Welzel & Kit Wong
September 2009, Volume 20, Issue 4
- 435-471 Testing a DSGE Model of the EU Using Indirect Inference
by David Meenagh & Patrick Minford & Michael Wickens - 473-487 Trade Openness, Capital Mobility, and the Sacrifice Ratio
by Joseph Daniels & David VanHoose - 489-507 Optimal Debt? On the Insurance Value of International Debt Flows to Developing Countries
by Eduardo Levy Yeyati - 509-524 Financial Liberalization, Fiscal Prudence and Growth: Panel Evidence from 1980–2003
by C. Alper & S. Cakici - 525-543 The Buffer Stock Model Redux? An Analysis of the Dynamics of Foreign Reserve Accumulation
by Giulio Cifarelli & Giovanna Paladino - 545-563 Exporting against Risk? Theory and Evidence from Public Export Insurance Schemes in OECD Countries
by Ernst Baltensperger & Nils Herger - 565-587 Exchange Rate Volatility and Growth in Emerging Europe and East Asia
by Gunther Schnabl
July 2009, Volume 20, Issue 3
- 293-315 Fear of Floating and Pegging: A Simultaneous Choice Model of De Jure and De Facto Exchange Rate Regimes in Developing Countries
by Jürgen Hagen & Jizhong Zhou - 317-337 Live or Let Die? Alternative Routes to Industry Exit
by David Greenaway & Joakim Gullstrand & Richard Kneller - 339-358 Resurrecting Keynes to Stabilize the International Monetary System
by Pietro Alessandrini & Michele Fratianni - 359-384 Modeling the Impact of Real and Financial Shocks on Mercosur: The Role of the Exchange Rate Regime
by Jean-Pierre Allegret & Alain Sand-Zantman - 385-402 Forecasting World Trade: Direct Versus “Bottom-Up” Approaches
by Matthias Burgert & Stephane Dees - 403-423 Asian Currency Baskets: An Answer in Search of a Question?
by Charles Adams & Hwee Chow - 425-434 Beggar thy Neighbor? The Transmission of Fiscal Shocks from the US to Canada
by K. Arin & Faik Koray
April 2009, Volume 20, Issue 2
- 147-181 Foreign Transfers and Real Exchange Rate Adjustments in a Financially Constrained Dependent Economy
by Valerie Cerra & Serpil Tekin & Stephen Turnovsky - 183-206 Pitfalls in Measuring Exchange Rate Misalignment
by Yin-Wong Cheung & Menzie Chinn & Eiji Fujii - 207-223 Foreign Direct Investment in R&D and Exchange Rate Uncertainty
by Bettina Becker & Stephen Hall - 225-240 Understanding Agreements on TRIPS and Subsidies in Tandem
by Moonsung Kang - 241-263 Strategic Interactions Among Central Bank and National Fiscal Authorities in a Monetary Union Subject to Asymmetric Country Shocks
by Pompeo Posta & Valeria Bonis - 265-291 Testing a Model of the UK by the Method of Indirect Inference
by Patrick Minford & Konstantinos Theodoridis & David Meenagh
February 2009, Volume 20, Issue 1
- 1-37 International Financial Aggregation and Index Number Theory: A Chronological Half-century Empirical Overview
by William Barnett & Marcelle Chauvet - 39-59 Asset Prices as Indicators of Euro Area Monetary Policy: An Empirical Assessment of Their Role in a Taylor Rule
by Pierre Siklos & Martin Bohl - 61-83 Testing the Unstable Middle and Two Corners Hypotheses About Exchange Rate Regimes
by Apanard Angkinand & Eric Chiu & Thomas Willett - 85-111 Evaluating China’s Integration in World Trade with a Gravity Model Based Benchmark
by Matthieu Bussière & Bernd Schnatz - 113-122 Trade in Capital Goods and International Co-movements of Macroeconomic Variables
by Koichi Yoshimine & Thomas Barbiero - 123-146 Exchange Rate Economics
by John Williamson
November 2008, Volume 19, Issue 5
- 557-578 Trade Costs, Trade Balances and Current Accounts: An Application of Gravity to Multilateral Trade
by Giorgio Fazio & Ronald MacDonald & Jacques Melitz - 579-612 Economic, Political, and Institutional Prerequisites for Monetary Union Among the Members of the Gulf Cooperation Council
by Willem Buiter - 613-627 International Saving, Investment and Trade
by Peter Debaere & Ufuk Demiroglu - 629-650 The Contribution of Sectoral Productivity Differentials to Inflation in Greece
by Heather Gibson & Jim Malley - 651-666 Limits to International Banking Consolidation
by Falko Fecht & Hans Grüner - 667-683 The Portuguese Economy in the Irish Mirror, 1960–2004
by Pedro Lains
September 2008, Volume 19, Issue 4
- 411-422 Optimal Taxes and Tariffs with Private Information
by Kent Kimbrough - 423-455 Monetary Policy Analysis in a Small Open Credit-Based Economy
by Pierre-Richard Agénor & Peter Montiel - 457-478 Special Interest Groups and Trade Policy in the EU
by Marianna Belloc & Paolo Guerrieri - 479-491 Is the Middle East an Optimum Currency Area? A Comparison of Costs and Benefits
by Davide Furceri & Georgios Karras - 493-505 Reconsidering Consumption Risk Sharing among OECD Countries: Some Evidence Based on Panel Cointegration
by Markus Leibrecht & Johann Scharler - 507-515 Non-traded Goods, Technical Progress and Wages
by Reza Oladi & Hamid Beladi - 517-537 The Transfer Problem in the Euro Area
by Alessandro Girardi & Paolo Paesani - 539-556 Assessing the Competitiveness of International Financial Services in Particular Locations: A Survey of Methods and Perspectives
by George Furstenberg
July 2008, Volume 19, Issue 3
- 277-303 Shocks to Terms of Trade and Risk-premium in an Intertemporal Model: The Dutch Disease and a Dutch Party
by Karlygash Kuralbayeva & David Vines - 305-336 Monetary Policy in Illiquid Markets: Options for a Small Open Economy
by Edda Claus & Mardi Dungey & Renée Fry - 337-354 Durable Goods, Time Preference and The Dynamics of the Current Account
by Arman Mansoorian & Mohammed Mohsin - 355-370 Whither A Currency Union in Greater China?
by Zhaoyong Zhang & Kiyotaka Sato - 371-390 Implications of Monetary Union for Catching-up Member States
by Marcelo Sánchez - 391-402 Specialization and Welfare in the Presence of Imperfectly Integrated Capital Markets and Learning-by-doing
by Roland Hodler - 403-410 Import Source Reallocation and U.S. Manufacturing Employment, 1972–2001
by Roger White
April 2008, Volume 19, Issue 2
- 135-146 Openness and Real Exchange Rate Volatility: In Search of an Explanation
by Michael Bleaney - 147-165 Dutch Disease Scare in Kazakhstan: Is it real?
by Balazs Egert & Carol Leonard - 167-181 Exchange Rate Regime and Demand for Reserves: Evidence from Kenya, Mexico and Philippines
by Taufiq Choudhry & Mohammad Hasan - 183-201 The Lack of International Consumption Risk Sharing: Can Inflation Differentials and Trading Costs Help Explain the Puzzle?
by Mathias Hoffmann - 203-219 Multinationals: Too Many or Too Few?— The Proximity–concentration Trade-off
by Eric Toulemonde - 221-240 The Convergence of Price–cost Margins
by Hervé Boulhol - 241-259 Public Spending Management and Macroeconomic Interdependence
by Giovanni Ganelli - 261-275 Real Exchange Rate Stationarity in Latin America and Relative Purchasing Power Parity: A Regime Switching Approach
by Mark Holmes
February 2008, Volume 19, Issue 1
- 1-19 Business Cycle Synchronization in the Enlarged EU
by Zsolt Darvas & György Szapáry - 21-42 Is Uniform Money Always Better than Separate Monies?
by Manjong Lee - 43-54 Capturing Regional Trade Effects in the Presence of Other Trade Effects: The Impact of the Europe Agreement on Poland’s Imports
by Chris Milner & Katarzyna Sledziewska - 55-70 International R&D Rivalry with Spillovers and Tariff Policies
by Pei-Cheng Liao - 71-80 Exchange Rate Risk and Commodity Trade Between the U.S. and India
by Mohsen Bahmani-Oskooee & Rajarshi Mitra - 81-120 Fiscal Policy and Macroeconomic Stabilizations: What are the Gains from Cooperation?
by Leonor Coutinho - 121-134 What Drives Price Differentials of Consumables in Europe? Size? Affluence? Or Both?
by Gianpaolo Rossini & Paolo Zanghieri
November 2007, Volume 18, Issue 5
- 521-537 Monetary Policy in Austria–Hungary, 1876–1913: An Econometric Analysis of the Determinants of the Central Bank’s Discount Rate and the Liquidity Ratio
by Giuseppe Tullio & Jürgen Wolters - 539-557 UK External Imbalances and the Sterling: Are they on a Sustainable Path?
by Eleni Iliopulos & Marcus Miller - 559-576 Fiscal-monetary Interactions: The Effect of Fiscal Restraint and Public Monitoring on Central Bank Credibility
by Andrew Hughes Hallett & Jan Libich - 577-598 International Risk Sharing and Government Moral Hazard
by Wolf Wagner - 599-612 Testing the Links between Institutional Integration and Trade Deepening: Clues from Europe
by Itai Agur & Ettore Dorrucci & Francesco Mongelli - 613-630 Non-Keynesian Fiscal Adjustments? A Close Look at Expansionary Fiscal Consolidations in the EU
by Gabriele Giudice & Alessandro Turrini & Jan in’t Veld
September 2007, Volume 18, Issue 4
- 389-404 Disaggregate Real Exchange Rate Behaviour
by Giorgio Fazio & Peter McAdam & Ronald MacDonald - 405-426 Estimated Open Economy New Keynesian Phillips Curves for the G7
by Campbell Leith & Jim Malley - 427-451 Estimates of the Open Economy New Keynesian Phillips Curve for Euro Area Countries
by Fabio Rumler - 453-477 The Effects of Temporary Exchange-Rate-Based Stabilizations when Money Serves a Productive Role
by Jesper Rangvid - 479-498 Effects of Tariffication: Tariffs and Quotas under Monopolistic Competition
by Jan Jørgensen & Philipp Schröder - 499-520 The Evolving Role of China and India in the Global Financial System
by Philip Lane & Sergio Schmukler
July 2007, Volume 18, Issue 3
- 233-237 Editorial
by Georgios Kouretas & Athanasios Papadopoulos - 239-262 Introducing Instruments of Central Bank Accountability in a Monetary Union
by Katrin Ullrich - 263-280 The Costs of Increasing Transparency
by Maria Demertzis & Marco Hoeberichts - 281-289 Fiscal Leadership and Coordination in the EMU
by Nicola Acocella & Giovanni Bartolomeo & Patrizio Tirelli - 291-305 Monetary and Fiscal Policy Interaction in the Euro Area with Different Assumptions on the Phillips Curve
by Peter Bofinger & Eric Mayer - 307-326 Estimating the Equilibrium Effective Exchange Rate for Potential EMU Members
by Nikolaos Giannellis & Athanasios Papadopoulos - 327-346 Foreign Direct Investment in the Enlarged EU: Do Taxes Matter and to What Extent?
by Guntram Wolff - 347-367 Saving–investment Correlations in Response to Monetary Policy Shocks: New Insights into the Feldstein–Horioka Puzzle?
by Caroline Schmidt - 369-388 Reforms, Exchange Rates and Monetary Commitment: A Panel Analysis for OECD Countries
by Ansgar Belke & Bernhard Herz & Lukas Vogel
April 2007, Volume 18, Issue 2
- 127-156 Is Numérairology the Future of Monetary Economics?
by Willem Buiter - 157-176 Volatility in International Financial Market Issuance: The Role of the Financial Center
by Marco Cipriani & Graciela Kaminsky - 177-189 Labour Market Adjustments to Exchange Rate Fluctuations: Evidence from Canadian Manufacturing Industries
by Danny Leung & Terence Yuen - 191-214 International Reserves: Precautionary Versus Mercantilist Views, Theory and Evidence
by Joshua Aizenman & Jaewoo Lee - 215-232 The Role of the Efficiency Gap for Spillovers from FDI: Evidence from the UK Electronics and Engineering Sectors
by Sourafel Girma & Holger Görg
February 2007, Volume 18, Issue 1
- 1-25 Swiss Exchange Rate Policy in the 1930s. Was the Delay in Devaluation Too High a Price to Pay for Conservatism?
by Michael Bordo & Thomas Helbling & Harold James - 27-52 Insurance Underwriter or Financial Development Fund: What Role for Reserve Pooling in Latin America?
by Barry Eichengreen - 53-76 Exchange Rate Pegs, Fiscal Policy and Credibility
by Torben Andersen & Julia Chiriaeva - 77-93 Devaluation, Debt, and Default in Emerging Economies
by Samir Jahjah & Peter Montiel - 95-118 Welfare State, Market Imperfections, and International Trade
by Hassan Molana & Catia Montagna - 119-125 On the Equality of Real Interest Rates Across Borders in Integrated Capital Markets
by Patrick Minford & David Peel
December 2006, Volume 17, Issue 4
- 363-364 Perspectives on Monetary, Financial, and Economic Integration: Editor’s Introduction
by Jürgen Hagen - 365-371 Michele Fratianni’s Professional Career and Contributions to Economic Analysis
by Paolo Savona - 373-398 Financial Liberalization in a Small Open Economy
by Jürgen Hagen & Haiping Zhang - 399-422 International Financial Contagion and the Fund —A Theoretical Framework
by Peter Clark & Haizhou Huang - 423-441 A Spatial Modelling Approach to Contagion Among Emerging Economies
by Harry Kelejian & George Tavlas & George Hondroyiannis - 443-458 International Financial Cooperation and the Number of Adherents: The Basel Committee and Capital Regulation
by John Pattison - 459-475 Explaining Compliance with G8 Finance Commitments: Agency, Institutionalization and Structure
by John Kirton - 477-492 Maastricht: New and Old Rules
by Franco Spinelli & Carmine Trecroci - 493-508 International Trade, OECD Membership, and Religion
by Heejoon Kang & Michele Fratianni - 509-524 Measuring the Economic Costs and Benefits of the EU
by Patrick Minford - 525-540 Financial Stability in European Banking: The Role of Common Factors
by Clemens Kool - 541-559 Dependence on External Finance: An Inherent Industry Characteristic?
by George Furstenberg & Ulf Kalckreuth
July 2006, Volume 17, Issue 3
- 255-279 The International Business Cycle in a Changing World: Volatility and the Propagation of Shocks in the G-7
by Pedro Perez & Denise Osborn & Michael Artis - 281-296 Joining the European Monetary Union—Comparing First and Second Generation Open Economy Models
by Vo Le & Patrick Minford - 297-319 Economic Integration and Manufacturing Concentration Patterns: Evidence from MERCOSUR
by Iulia Traistaru-Siedschlag & Christian Martincus - 321-340 Trade Verticality and Structural Change in Industries:The Cases of Taiwan and South Korea
by Hung-Yi Chen & Yang-Ming Chang - 341-357 Devaluation, Capital Formation, and the Current Account
by Wen-Ya Chang & Hsueh-Fang Tsai
April 2006, Volume 17, Issue 2
- 147-173 Stock Prices, Output and the Monetary Regime
by Robert Flood & Nancy Marion - 175-195 The Impact of EMU on Inflation Expectations
by Friedrich Heinemann & Katrin Ullrich - 197-219 Uncertainty, Flexible Exchange Rates, and Agglomeration
by Luca Ricci - 221-233 Dynamic Links Between Unexpected Exchange Rate Variation, Prices, and International Trade
by Chongcheul Cheong & Tesfa Mehari & Leighton Williams - 235-251 Forecasting Performance of Exponential Smooth Transition Autoregressive Exchange Rate Models
by Ahmad Baharumshah & Venus Liew
January 2006, Volume 17, Issue 1
- 5-26 Price Rigidity and the Selection of the Exchange Rate Regime
by Fabrice Collard & Harris Dellas - 27-55 New Keynesian Explanations of Cyclical Movements in Aggregate Inflation and Regional Inflation Differentials
by Matthew Canzoneri & Robert Cumby & Behzad Diba & Olena Mykhaylova - 57-71 Currency Crises and the Term Structure of Interest Rates
by Alan Sutherland - 73-102 E Pluribus Unum? Authorities' Design in Financial Supervision: Trends and Determinants
by Donato Masciandaro - 103-114 Multinationals, Hedging, and Capital Structure under Exchange Rate Uncertainty
by Udo Broll & Kit Wong - 115-143 A Primer on Real Effective Exchange Rates: Determinants, Overvaluation, Trade Flows and Competitive Devaluation
by Menzie Chinn
October 2005, Volume 16, Issue 4
- 319-319 Editorial Announcement
by George Tavlas - 321-340 Does IMF Support Accelerate Inflation Stabilization?
by Francisco Joséveiga - 341-362 Can Import Tariffs Deter Outward FDI?
by David Collie & Hylke Vandenbussche - 363-379 Exports, Product Differentiation and Knowledge Spillovers
by Miguel León-Ledesma - 381-398 The Disciplinary Effect of the Single Market on Swedish Firms
by Joakim Gullstrand & Helena Johansson - 399-405 Solution to the Siegel Paradox
by Kam Chu - 407-412 The Heckscher-Ohlin-Vanek Theorem and International Factor Price Differences
by Avik Chakrabarti
July 2005, Volume 16, Issue 3
- 227-247 Asymmetric Effect of Currency Union for Developing Countries
by Ayako Saiki - 249-262 International R&D Spillovers Revisited
by Gwanghoon Lee - 263-281 Limited Reserves and the Optimal Width of an Exchange Rate Target Zone
by Simon Broome - 283-293 Exchange Rate Disconnect in a Standard Open-Economy Macro Model
by Bernd Kempa - 295-312 The Policy Challenge with Floating Exchange Rates: Turkey’s Recent Experience
by Faruk Selçuk
April 2005, Volume 16, Issue 2
- 107-133 A Sequential Test for Structural Breaks in the Causal Linkages Between the G7 Short-Term Interest Rates
by Marco Barassi & Guglielmo Caporale & Stephen Hall - 135-152 Monetary Union, Trade Integration, and Business Cycles in 19th Century Europe
by Marc Flandreau & Mathilde Maurel - 153-174 Home Employment Effects of EU Firms’ Activities in Central and Eastern European Countries
by Ludo Cuyvers & Michel Dumont & Glenn Rayp & Katrien Stevens - 175-187 Technology Transfer from Acquisition FDI and the Absorptive Capacity of Domestic Firms: An Empirical Investigation
by Sourafel Girma