Content
2024
- 1-4 Introduction
In: The Resurgence of Inflation
by Michael Heine & Hansjörg Herr - 5-17 The German Hyperinflation of 1923
In: The Resurgence of Inflation
by Michael Heine & Hansjörg Herr - 19-32 Macroeconomic Development from the Late-1960s to the Mid-1980s
In: The Resurgence of Inflation
by Michael Heine & Hansjörg Herr - 33-84 Inflation and Macroeconomic Management in Selected Countries from the Late-1960s to the Mid-1980s
In: The Resurgence of Inflation
by Michael Heine & Hansjörg Herr - 85-115 Deflationary Tendencies After the 2008 Financial Crisis, the Covid-19 Pandemic and Stagflation After the Energy Shock
In: The Resurgence of Inflation
by Michael Heine & Hansjörg Herr - 117-133 Conclusions and Recommendations
In: The Resurgence of Inflation
by Michael Heine & Hansjörg Herr - 135-188 Theoretical Explanations for Price Level Changes
In: The Resurgence of Inflation
by Michael Heine & Hansjörg Herr
2023
- 1-10 Measuring and Fighting for Price Stability in Turbulent Times: Lessons from East Asia
In: Inflation and Deflation in East Asia
by Frank Rövekamp & Moritz Bälz & Hanns Günther Hilpert & Wook Sohn - 1-15 Introduction
In: Monetary Policy in Interdependent Economies
by Ioanna T. Kokores - 13-34 The Mirages of Hedonics: Quantitative Analysis of the Technological Innovation Contained in Inflation Rates
In: Inflation and Deflation in East Asia
by Kenichi Shimizu - 19-37 New Challenges on the Science of Monetary Policy
In: Monetary Policy in Interdependent Economies
by Ioanna T. Kokores - 35-54 Low Inflation in Korea During the Accommodation Policy Period 2012–2017: Unravelling the Mystery
In: Inflation and Deflation in East Asia
by Woosik Moon - 39-71 New Lessons for Macroeconomics and Finance Theory
In: Monetary Policy in Interdependent Economies
by Ioanna T. Kokores - 55-71 Impact of Inflation on the Financial Statements of Firms in South Korea
In: Inflation and Deflation in East Asia
by Raquel Sarquis & Ariovaldo Santos - 73-95 In Search for a New Monetary Policy Framework
In: Monetary Policy in Interdependent Economies
by Ioanna T. Kokores - 75-87 Inflation Dynamics and Expectations in Singapore
In: Inflation and Deflation in East Asia
by Hwee Kwan Chow - 89-102 Inflation Dynamics and Monetary Policy in Taiwan
In: Inflation and Deflation in East Asia
by Michael C.-Y. Yang - 99-136 Monetary Policy Crisis in the Eurozone
In: Monetary Policy in Interdependent Economies
by Ioanna T. Kokores - 103-122 Why Has There Been No Inflation in Japan?
In: Inflation and Deflation in East Asia
by Markus Heckel & Franz Waldenberger - 125-146 Inflation, Price Stability, and Monetary Policy: On the Legality of Inflation Targeting by the Eurosystem
In: Inflation and Deflation in East Asia
by Helmut Siekmann - 137-156 A Critical Assessment of the Euro Project in Retrospect
In: Monetary Policy in Interdependent Economies
by Ioanna T. Kokores - 147-168 The Bank of Japan Act of 1997 and “Quantitative and Qualitative Monetary Easing (QQE)”
In: Inflation and Deflation in East Asia
by Naoto Katagiri - 159-188 Monetary Theory and Policy: The Implications of Radical Uncertainty
In: Monetary Policy in Interdependent Economies
by Ioanna T. Kokores - 189-215 Monetary Policy in Interdependent Economies: The Task Ahead
In: Monetary Policy in Interdependent Economies
by Ioanna T. Kokores - 217-250 Looking to the Future: Monetary Policy in Uncharted Waters
In: Monetary Policy in Interdependent Economies
by Ioanna T. Kokores
2022
- 1-1 Correction to: Blind Spots in the Spotlight
In: Blind Spots in the Spotlight
by Raluca Iacob - 1-9 Introduction
In: Blind Spots in the Spotlight
by Raluca Iacob - 11-41 Public Communication of Central Banks: Theoretical Perspectives
In: Blind Spots in the Spotlight
by Raluca Iacob - 43-61 Framing Theory
In: Blind Spots in the Spotlight
by Raluca Iacob - 63-88 Research Design and Elements
In: Blind Spots in the Spotlight
by Raluca Iacob - 89-129 NBR Representatives About the Change of Public Communication After 2008
In: Blind Spots in the Spotlight
by Raluca Iacob - 131-153 Public Perception of the NBR Communication After 2008
In: Blind Spots in the Spotlight
by Raluca Iacob - 155-179 Framing the Giving in Payment Law by Online Media (2016)
In: Blind Spots in the Spotlight
by Raluca Iacob - 181-187 Conclusions
In: Blind Spots in the Spotlight
by Raluca Iacob
2021
- 1-5 Introduction
In: Financial Sustainability of Pension Systems
by Stefania Amalia Jimon & Florin Cornel Dumiter & Nicolae Baltes - 7-51 Overview of Pension Systems
In: Financial Sustainability of Pension Systems
by Stefania Amalia Jimon & Florin Cornel Dumiter & Nicolae Baltes - 53-76 Socioeconomic and Medical Approaches upon Pensions Systems
In: Financial Sustainability of Pension Systems
by Stefania Amalia Jimon & Florin Cornel Dumiter & Nicolae Baltes - 77-100 Modeling the Impact of Socioeconomic and Medical Characteristics on Public Pension Systems in Central and Eastern European Countries
In: Financial Sustainability of Pension Systems
by Stefania Amalia Jimon & Florin Cornel Dumiter & Nicolae Baltes - 101-124 Private Pension Funds
In: Financial Sustainability of Pension Systems
by Stefania Amalia Jimon & Florin Cornel Dumiter & Nicolae Baltes - 125-132 Personal Savings and Investments in the Financial Market
In: Financial Sustainability of Pension Systems
by Stefania Amalia Jimon & Florin Cornel Dumiter & Nicolae Baltes - 133-141 The Importance and Role of Social Policy in Maintaining Macroeconomic Stability
In: Financial Sustainability of Pension Systems
by Stefania Amalia Jimon & Florin Cornel Dumiter & Nicolae Baltes - 143-167 Modeling the Macroeconomic Effects of Pension Systems
In: Financial Sustainability of Pension Systems
by Stefania Amalia Jimon & Florin Cornel Dumiter & Nicolae Baltes - 169-190 Financial Sustainability of Public Pension System
In: Financial Sustainability of Pension Systems
by Stefania Amalia Jimon & Florin Cornel Dumiter & Nicolae Baltes - 191-221 Econometric Study on the Financial Sustainability of Public Pension Systems
In: Financial Sustainability of Pension Systems
by Stefania Amalia Jimon & Florin Cornel Dumiter & Nicolae Baltes - 223-226 Conclusions and Final Remarks
In: Financial Sustainability of Pension Systems
by Stefania Amalia Jimon & Florin Cornel Dumiter & Nicolae Baltes
2020
- 1-6 A Short Postcommunist Economic History of Emerging Europe
In: Hungary and Other Emerging EU Countries in the Financial Storm
by Júlia Király - 1-9 Monetary Policy in East Asia: Implementation Matters
In: Monetary Policy Implementation in East Asia
by Frank Rövekamp & Moritz Bälz & Hanns Günther Hilpert - 3-17 European Life Insurance Market: Analysis of Current Situation and Development Prospects
In: Life Insurance in Europe
by Marta Borda & Magdalena Chmielowiec-Lewczuk & Ilona Kwiecień - 7-17 Pre-crisis Central Banking
In: Hungary and Other Emerging EU Countries in the Financial Storm
by Júlia Király - 13-30 China’s Monetary Policy: Institutional Setting, Tools and Challenges
In: Monetary Policy Implementation in East Asia
by Patrick Hess - 19-27 Social Determinants of Life Insurance in the European Union
In: Life Insurance in Europe
by Natalia Grishchenko - 19-30 Bubbles Everywhere (The 2000s)
In: Hungary and Other Emerging EU Countries in the Financial Storm
by Júlia Király - 29-44 The Challenges Faced by Life Insurance Companies in the Baltic States
In: Life Insurance in Europe
by Ramona Rupeika-Apoga & Inna Romānova & Simon Grima - 31-42 Inflation Targeting in Korea
In: Monetary Policy Implementation in East Asia
by Woosik Moon - 31-44 Under the Clouds of the Subprime Crisis (July 2007–September 2008)
In: Hungary and Other Emerging EU Countries in the Financial Storm
by Júlia Király - 45-56 The Lehman Tsunami (September–October 2008)
In: Hungary and Other Emerging EU Countries in the Financial Storm
by Júlia Király - 45-58 The Turkish Life Insurance Market: An Evaluation of the Current Situation and Future Challenges
In: Life Insurance in Europe
by Ercan Ozen & Simon Grima - 45-59 Exchange-Rate Management in East Asia: Words and Deeds
In: Monetary Policy Implementation in East Asia
by Ulrich Volz - 57-66 The “Rescue Team” and Rescue Package (October–December 2008)
In: Hungary and Other Emerging EU Countries in the Financial Storm
by Júlia Király - 59-71 The Role Played by EIOPA in the Developments in the Insurance Sector European Consumer Protection Model
In: Life Insurance in Europe
by Jan Monkiewicz & Marek Monkiewicz - 61-71 Taiwan’s Exchange-Rate Policy and Its Current Challenges
In: Monetary Policy Implementation in East Asia
by Ti-Jen Tsao - 67-77 Emerging EU Member Countries in the Storm (Spring 2009)
In: Hungary and Other Emerging EU Countries in the Financial Storm
by Júlia Király - 73-83 Monetary Policy Implementation in Singapore
In: Monetary Policy Implementation in East Asia
by Hwee Kwan Chow & Fot Chyi Wong - 73-86 A New Model of Investment Life Insurance Distribution in the Context of Consumer Protection EU Policy
In: Life Insurance in Europe
by Anna Ostrowska-Dankiewicz - 79-91 Recovery from the Deep Recession (March 2009–April 2010)
In: Hungary and Other Emerging EU Countries in the Financial Storm
by Júlia Király - 87-99 Analysis of Capital Requirements in Life Insurance Sector Under Solvency II Regime: Evidence from Poland
In: Life Insurance in Europe
by Dorota Jaśkiewicz - 87-142 The Asset Purchase Programmes of the ESCB in the Courts
In: Monetary Policy Implementation in East Asia
by Helmut Siekmann - 93-104 Eurozone Crisis in Europe and a Bold U-Turn in Hungary (May–December 2010)
In: Hungary and Other Emerging EU Countries in the Financial Storm
by Júlia Király - 103-126 Longevity-Linked Annuities: How to Preserve Value Creation Against Longevity Risk
In: Life Insurance in Europe
by Annamaria Olivieri & Ermanno Pitacco - 105-121 Hungarian Double Dip (2011–2012)
In: Hungary and Other Emerging EU Countries in the Financial Storm
by Júlia Király - 123-129 Farewell to the Central Bank (2013)
In: Hungary and Other Emerging EU Countries in the Financial Storm
by Júlia Király - 127-145 Modelling the Life Expectancy of Elderly People for Life Insurance and Pension Systems
In: Life Insurance in Europe
by Anna Jędrzychowska & Jan Gogola - 131-145 Lessons and Aftermath
In: Hungary and Other Emerging EU Countries in the Financial Storm
by Júlia Király - 143-166 The Bank of Japan’s Exchange-Traded Fund Purchases under Quantitative and Qualitative Easing with Yield Curve Control
In: Monetary Policy Implementation in East Asia
by Sayuri Shirai - 147-163 The Challenges for Life Insurance Underwriting Caused by Changes in Demography and Digitalisation
In: Life Insurance in Europe
by Ilona Kwiecień & Patrycja Kowalczyk-Rólczyńska & Michał Popielas - 165-175 Innovation in Life Insurance: The Economic Landscape and the Insurance Distribution Directive
In: Life Insurance in Europe
by Adam Śliwiński & Pierpaolo Marano - 177-202 Internet of Things (IoT): Considerations for Life Insurers
In: Life Insurance in Europe
by Aleksandra Małek - 203-214 Discussion of Reducing the Risk of Cancer in Life and Health Insurance
In: Life Insurance in Europe
by Maria Węgrzyn
2019
- 1-8 Introduction
In: The Future of Pension Plans in the EU Internal Market
by Nazaré Costa Cabral & Nuno Cunha Rodrigues - 11-35 Old-Age Pension Systems: Characterization and Comparability
In: The Future of Pension Plans in the EU Internal Market
by Miguel Coelho - 37-53 What’s New in the Debate About Pay-as-you-go Versus Funded Pensions?
In: The Future of Pension Plans in the EU Internal Market
by Hervé Boulhol & Marius Lüske - 55-74 The Role of the Government in Creating or Enhancing the Access to Funded or Unfunded Pensions in the Modern Welfare State
In: The Future of Pension Plans in the EU Internal Market
by Yves Stevens - 75-86 The Coverage of Occupational and Personal Pension Plans
In: The Future of Pension Plans in the EU Internal Market
by Maria Teresa Medeiros Garcia - 87-108 Sustainability and Adequacy of Pension Systems Across the OECD: Shocks, Robustness and Policies
In: The Future of Pension Plans in the EU Internal Market
by Falilou Fall - 111-126 The Capital Markets Union: Saving for Retirement and Investing for Growth
In: The Future of Pension Plans in the EU Internal Market
by Ansgar Belke & Philipp Allroggen - 127-143 Sustainable Pensions for European Citizens: How to Close the Gap?
In: The Future of Pension Plans in the EU Internal Market
by Gabriel Bernardino - 145-160 Welfare Gains from a Capital Market Union with Capital-Funded Pensions
In: The Future of Pension Plans in the EU Internal Market
by Thomas Davoine & Susanne Forstner - 161-178 SeLFIES for Portugal: An Innovative Pan European Retirement Solution
In: The Future of Pension Plans in the EU Internal Market
by Robert C. Merton & Arun Muralidhar & Rui Seybert Pinto Ferreira - 179-191 The Pan-European Pension Product and the Capital Markets Union: A Way to Enhance and Complete the Economic and Monetary Union?
In: The Future of Pension Plans in the EU Internal Market
by Nuno Cunha Rodrigues - 193-197 The Final PEPP or How to Kill an Important EU Commission Proposal
In: The Future of Pension Plans in the EU Internal Market
by Karel Lannoo - 199-221 Deepening Financialization Within the EU: Consequences for Pension Regimes
In: The Future of Pension Plans in the EU Internal Market
by José Castro Caldas - 225-253 Pensions at a Crossroad Between Social Rights and Financial Markets: Which Way to Be Chosen?
In: The Future of Pension Plans in the EU Internal Market
by Nazaré Costa Cabral - 255-281 From Paris to Lisbon: The Ever-Changing European Social Policy Landscape
In: The Future of Pension Plans in the EU Internal Market
by Pedro Adão e Silva & Patrícia Cadeiras - 283-310 Pension Reforms After the Crisis: Bringing Adequacy Back in the Domestic and EU Policy Equation?
In: The Future of Pension Plans in the EU Internal Market
by Slavina Spasova & Christos Louvaris Fasois & Bart Vanhercke - 311-323 How to Best Address Pension Adequacy and Financial Sustainability in the Context of Population Ageing: The Labour Market as a Key Determinant
In: The Future of Pension Plans in the EU Internal Market
by Josef Wöss & Erik Türk - 325-349 Pensions in the Fluid EU Society: Challenges for (Migrant) Workers
In: The Future of Pension Plans in the EU Internal Market
by Ivana Vukorepa & Yves Jorens & Grega Strban
2018
- 1-13 Introduction
In: International Macroeconomics in the Wake of the Global Financial Crisis
by Laurent Ferrara & Ignacio Hernando & Daniela Marconi - 1-35 The Stability and Growth Pact and the New “Flexibility” Rules
In: Public Finance and National Accounts in the European Context
by Joaquim Miranda Sarmento - 17-41 The Productivity Slowdown and the Secular Stagnation Hypothesis
In: International Macroeconomics in the Wake of the Global Financial Crisis
by Patrizio Pagano & Massimo Sbracia - 37-45 Reforming Europe and the Euro Zone
In: Public Finance and National Accounts in the European Context
by Joaquim Miranda Sarmento - 43-57 Growth Potential in Emerging Countries
In: International Macroeconomics in the Wake of the Global Financial Crisis
by Enrica Di Stefano & Daniela Marconi - 47-67 The Fiscal Compact, the European Semester, and the Two-Pack and Six-Pack
In: Public Finance and National Accounts in the European Context
by Joaquim Miranda Sarmento - 59-72 What are the Drivers of TFP Growth? An Empirical Assessment
In: International Macroeconomics in the Wake of the Global Financial Crisis
by Iván Kataryniuk & Jaime Martínez-Martín - 69-72 Macroeconomic Imbalance Procedure
In: Public Finance and National Accounts in the European Context
by Joaquim Miranda Sarmento - 73-82 The National Accounts
In: Public Finance and National Accounts in the European Context
by Joaquim Miranda Sarmento - 73-96 The Unintended Consequences of Globalization and Technological Progress
In: International Macroeconomics in the Wake of the Global Financial Crisis
by Riccardo Cristadoro - 83-89 What Changes in the ESA 2010?
In: Public Finance and National Accounts in the European Context
by Joaquim Miranda Sarmento - 91-102 Excessive Deficit Procedure
In: Public Finance and National Accounts in the European Context
by Joaquim Miranda Sarmento - 99-114 Trade Weakness: Cycle or Trend?
In: International Macroeconomics in the Wake of the Global Financial Crisis
by Alessandro Borin & Virginia Nino & Michele Mancini & Massimo Sbracia - 103-118 The General Government Sector in the National Accounts
In: Public Finance and National Accounts in the European Context
by Joaquim Miranda Sarmento - 115-128 The Role of Debt Dynamics in US Household Consumption
In: International Macroeconomics in the Wake of the Global Financial Crisis
by Vincent Grossmann-Wirth & Clément Marsilli - 119-122 The Different Fiscal Balances
In: Public Finance and National Accounts in the European Context
by Joaquim Miranda Sarmento - 123-130 The Time of Recording of Operations
In: Public Finance and National Accounts in the European Context
by Joaquim Miranda Sarmento - 129-155 Explaining Weak Investment Growth After the Great Recession: A Macro-Panel Analysis
In: International Macroeconomics in the Wake of the Global Financial Crisis
by Ines Buono & Sara Formai - 131-148 Accounting for the Revenue in the National Accounts
In: Public Finance and National Accounts in the European Context
by Joaquim Miranda Sarmento - 149-155 Accounting of Expenditure in the National Accounts
In: Public Finance and National Accounts in the European Context
by Joaquim Miranda Sarmento - 157-161 Public Debt
In: Public Finance and National Accounts in the European Context
by Joaquim Miranda Sarmento - 159-181 Uncertainty Fluctuations: Measures, Effects and Macroeconomic Policy Challenges
In: International Macroeconomics in the Wake of the Global Financial Crisis
by Laurent Ferrara & Stéphane Lhuissier & Fabien Tripier - 163-210 Specific Cases
In: Public Finance and National Accounts in the European Context
by Joaquim Miranda Sarmento - 183-216 Determinants and Implications of Low Global Inflation Rates
In: International Macroeconomics in the Wake of the Global Financial Crisis
by Juan Carlos Berganza & Fructuoso Borrallo & Pedro Río - 217-229 The Global Real Interest Rate: Past Developments and Outlook
In: International Macroeconomics in the Wake of the Global Financial Crisis
by Ignacio Hernando & Daniel Santabárbara & Javier Vallés - 233-247 The Nature of the Shock Matters: Some Model-Based Results on the Macroeconomic Effects of Exchange Rate
In: International Macroeconomics in the Wake of the Global Financial Crisis
by Sophie Haincourt - 249-269 International Financial Flows in the New Normal: Key Patterns (and Why We Should Care)
In: International Macroeconomics in the Wake of the Global Financial Crisis
by Matthieu Bussière & Julia Schmidt & Natacha Valla - 271-298 International Spillovers of Non-standard Monetary Policy: Evidence From Central and Eastern Europe
In: International Macroeconomics in the Wake of the Global Financial Crisis
by Alessio Ciarlone & Andrea Colabella
2017
- 1-8 Overview
In: The Euro and the Crisis
by Nazaré Costa Cabral & José Renato Gonçalves & Nuno Cunha Rodrigues - 1-12 On the Role of Cash in East Asia
In: Cash in East Asia
by Frank Rövekamp & Moritz Bälz & Hanns Günther Hilpert - 1-13 Introduction
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 11-16 The Fundamental Flaws in the Euro Zone Framework
In: The Euro and the Crisis
by Joseph E. Stiglitz - 15-26 The Use of Cash in Europe and East Asia
In: Cash in East Asia
by Masaaki Shirakawa - 17-27 The Historical Development of the German Financial System
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 17-32 EMU as a Sustainable Currency Area
In: The Euro and the Crisis
by Annette Bongardt & Francisco Torres - 27-41 New Estimates for the Shadow Economies of 11 Asian Countries from 2000 to 2014
In: Cash in East Asia
by Friedrich Schneider - 29-54 The Growth of Finance and Its Role Since the 1980s—A Quantitative Overview
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 33-46 A Structural-Reform Proposal for a Two-Speed European Monetary Union
In: The Euro and the Crisis
by Sergio Rossi - 43-61 De-monetisation, Re-monetisation, and Parallel Currencies in North Korea
In: Cash in East Asia
by Rüdiger Frank - 47-72 Are Euro Area Economic Structures Changing?
In: The Euro and the Crisis
by Francesco Paolo Mongelli & Georgios Papadopoulos & Elisa Reinhold - 55-70 The Institutional Structure of the German Financial System
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 65-76 Domestic Liquidity Conditions and Monetary Policy in Singapore
In: Cash in East Asia
by Hwee Kwan Chow - 71-89 Germany’s Integration into International and European Financial Markets
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 73-94 Differences in Human Capital and Openness to Trade as Barriers to Growth and Convergence in the EU
In: The Euro and the Crisis
by Marta C. N. Simões & João A. S. Andrade & Adelaide P. S. Duarte - 77-98 Fully Reserve-Backed Money: A Solution to Japan’s Fiscal and Monetary Challenges
In: Cash in East Asia
by Franz Waldenberger - 91-109 Regulation of the German Financial System
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 95-107 Has the Euro Any Future Under Secular Stagnation?
In: The Euro and the Crisis
by Francisco Louçã - 101-115 A Coinless Society as a Bridge to a Cashless Society: A Korean Experiment
In: Cash in East Asia
by Woosik Moon - 111-123 European Monetary Union: Political Motivation
In: The Euro and the Crisis
by Luís Máximo dos Santos - 113-124 The Nature and Degree of Competition
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 117-131 The Ongoing Evolution of Payment Instruments in China: A Case Study in Financial Innovation, and on the Role of the Central Bank
In: Cash in East Asia
by Patrick Hess - 125-130 The Great Recession of 2012–2014: The Monetary Union Challenged by National Egoisms
In: The Euro and the Crisis
by Pierre-Alain Muet - 125-139 Profitability of the Financial Sector and Sub-sectors
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 131-152 The Fiscal Compact and the Excessive Deficit Procedure: Relics of Bygone Times?
In: The Euro and the Crisis
by Ansgar Belke - 133-151 The Use of Cash in Germany: Status and Outlook
In: Cash in East Asia
by Erwin Gladisch - 141-152 Efficiency of the Financial Sector
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 153-171 A Conceptual Framework for Reforms Versus Debt in the Context of a Fiscal Union Within the European Monetary Union
In: The Euro and the Crisis
by Yannis M. Ioannides - 153-178 Restricting the Use of Cash in the European Monetary Union: Legal Aspects
In: Cash in East Asia
by Helmut Siekmann - 155-173 Sources of Funds for Business Investments: Non-financial Corporate Sector and Small and Medium-sized Enterprises (SMEs)
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 173-195 Sovereign Debt Restructuring in a Monetary Union: The Case of the Euro Area Member States
In: The Euro and the Crisis
by Sérgio Gonçalves Cabo - 175-187 The Involvement of the Financial Sector in the Restructuring of the Economy
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 189-208 Privatisation and Nationalisation Policies and the Financial Sector
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 199-221 The Crisis Management of the ECB
In: The Euro and the Crisis
by Fritz Breuss - 209-226 The Financial Sector and Private Households
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 223-247 The Unconventional Monetary Policy of the ECB and the International Economic and Financial Crisis: Effectiveness Versus Exhaustion
In: The Euro and the Crisis
by António Mendonça - 227-253 The Real Estate Sector and Its Relation to the Financial Sector
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 249-269 The Eurozone’s Private and Governmental Shock Absorbers: Current Setup and Future Prospects
In: The Euro and the Crisis
by Nazaré Costa Cabral - 257-273 Financialisation and Income Distribution
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 271-288 The European Banking Union and the Economic and Monetary Union: The Puzzle Is Yet to Be Completed
In: The Euro and the Crisis
by Nuno Cunha Rodrigues & José Renato Gonçalves - 275-296 Crisis and Macroeconomic Policies
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 289-301 The (Future) European Unemployment Insurance and Its Role as an Automatic Stabiliser
In: The Euro and the Crisis
by Miroslav Beblavý & Karolien Lenaerts & Ilaria Maselli - 297-306 Final Conclusions
In: The German Financial System and the Financial and Economic Crisis
by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr & Franz Josef Prante - 305-323 Achieving Accountable Governance and Structural Reforms: Lessons from the Crisis in Europe
In: The Euro and the Crisis
by Ehtisham Ahmad & Giorgio Brosio - 325-338 The Financing of the European Union Budget
In: The Euro and the Crisis
by Herman Matthijs - 339-355 Toward a Closer Union in Europe: Elusive Mirage or Reality Within Grasp?
In: The Euro and the Crisis
by George Kopits - 357-366 The Scope for a Budgetary Union in the European Monetary Union
In: The Euro and the Crisis
by Oscar Bajo-Rubio & Carmen Díaz-Roldán
2016
- 3-27 The Core Characteristics of Financial Crises
In: Modern Financial Crises
by Beniamino Moro - 31-42 Argentina’s Debt Crisis
In: Modern Financial Crises
by Victor A. Beker - 45-59 The American Financial Crisis
In: Modern Financial Crises
by Victor A. Beker - 61-77 The Run on Repo and the Policy Interventions to Struggle the Great Crisis
In: Modern Financial Crises
by Beniamino Moro - 81-105 From the American Financial Meltdown to the European Banking and Public Debt Crises
In: Modern Financial Crises
by Beniamino Moro - 107-133 The European Crisis and the Accumulation of TARGET2 Imbalances
In: Modern Financial Crises
by Beniamino Moro - 135-160 The European Debt Crisis
In: Modern Financial Crises
by Victor A. Beker - 163-182 The Theoretical Debate on the Great Crisis
In: Modern Financial Crises
by Beniamino Moro - 183-199 From the Economic Crisis to the Crisis of Economics
In: Modern Financial Crises
by Victor A. Beker - 201-219 Rethinking Macroeconomics in Light of the Great Crisis
In: Modern Financial Crises
by Victor A. Beker - 223-245 Current Issues and Policies
In: Modern Financial Crises
by Victor A. Beker & Beniamino Moro - 247-257 Open Problems and Conclusions
In: Modern Financial Crises
by Victor A. Beker
2015
- 1-4 Introduction
In: In Defense of Deflation
by Philipp Bagus - 1-9 Introduction: Financial Stability in East Asia—A Tentative Assessment
In: Central Banking and Financial Stability in East Asia
by Frank Rövekamp & Moritz Bälz & Hanns Günther Hilpert - 5-33 Economic Theories of Deflation
In: In Defense of Deflation
by Philipp Bagus - 11-24 History and Legal Framework of the People’s Bank of China
In: Central Banking and Financial Stability in East Asia
by Knut Benjamin Pißler - 25-41 The Independence of the Bank of Japan in the Light of Statutory Rules and Central Bank Independence Indices
In: Central Banking and Financial Stability in East Asia
by Moritz Bälz & Markus Heckel - 35-83 Causes of Deflation
In: In Defense of Deflation
by Philipp Bagus - 43-86 The Legal Framework for the European System of Central Banks
In: Central Banking and Financial Stability in East Asia
by Helmut Siekmann - 85-117 Consequences and Myths Concerning Deflation
In: In Defense of Deflation
by Philipp Bagus - 87-100 Central Bank Independence in Times of High Fiscal Risk: The Case of Japan
In: Central Banking and Financial Stability in East Asia
by Franz Waldenberger - 101-123 The Legality of Outright Monetary Transactions of the European System of Central Banks
In: Central Banking and Financial Stability in East Asia
by Helmut Siekmann - 119-189 Two Historical Examples of Deflation
In: In Defense of Deflation
by Philipp Bagus - 125-139 Externally Imposed Financial Repression, Conflicted Internationalisation of the Renminbi and External Balancing via Wage Adjustment
In: Central Banking and Financial Stability in East Asia
by Gunther Schnabl - 141-156 Demand and Supply of Shadow Banking in China
In: Central Banking and Financial Stability in East Asia
by Xuechun Zhang & Patrick Hess - 157-167 Navigating the Trilemma: Central Banking in East Asia Between Inflation Targeting, Exchange-Rate Management and Guarding Financial Stability
In: Central Banking and Financial Stability in East Asia
by Ulrich Volz - 169-183 Concern About Financial Stability Following the Recent US Legal Expansionism: International Law and East Asian Perspectives
In: Central Banking and Financial Stability in East Asia
by Takashi Kubota