Content
2013, Volume 2
- 12-37 On the Co-Movements of Exchange Rates
by Itir OZER-IMER & Ibrahim OZKAN - 39-56 Collateral Composition, Diversification Risk and Systematically Important Merchant Banks
by Alexis DERVIZ - 58-77 Reform the Existing and Building of New Institutional Structure over the Counter Financial Derivatives Market
by Dragan Miodrag MOMIROVIC - 79-90 Financial Markets Prudetial Regulation as a Dynamic Self-Corrective Process
by Josef MLÁDEK - 92-109 Global and Regional Regulatory Changes to the Financial Industry as a Consequence of the Financial Crisis: the Case of the European Union
by Roberto J. SANTILLÁN-SALGADO - 111-126 Mark to Market Accounting as a Magnifier of Financial Crises
by Nemanja Milovan STANISIC & Snezana Drago POPOVCIC-AVRIC & Vule Miroljub MIZDRAKOVIC & Marina Milan DJENIC - 128-135 Market Timing Ability of Socially Responsible Investing Funds in Luxembourg
by Wei Rong ANG & Hooi Hooi LEAN - 137-148 The Market of High Risk Financial Services
by Jacek BINDA & Pawel MROWIEC - 151-163 The Crisis of Euro's Governance: Institutional Aspects and Policy Issues
by Daniele SCHILIRÒ - 165-188 Monetary Union and the Role of the Monetary Policy from the Point of View of Selected Theoretical Approaches
by Rastislav KOTULIC & Jaroslava HECKOVÁ & Alexandra CHAPCÁKOVÁ - 190-203 Forced Changes in Banks Financing Growth in East European Countries
by Nebojsa SAVIC & Goran PITIC & Lidija BARJAKTAROVIC - 205-219 Fiscal Policy and External Constraint in teh European Monetary Union
by Rosaria Rita CANALE - 221-243 Determinants of Fiscal Consolidation Success in V4 Countries
by Radovan DRÁB & Lucia MIHÓKOVÁ - 245-257 Development in Models of Majority Voting over Fixed Income Taxations
by Cristian Marius LITAN & Paula CURT & Diana Andrada FILIP - 23 Financial Aspects of Recent Trends in the Global Economy
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2013, Volume 1
- 12-32 Globalization and Financial Market Contagion: Evidence from Financial Crisis and Natural Disasters
by Simplice Anutechia ASONGU - 34-53 Influence of the Economic Crisis on the Fulfillment of the Target of Strategy Europe 2020 in the Area of Research and Development
by Emília SPIŠÁKOVÁ - 55-79 Growth Design and Monetary Policy after the Crisis
by Rustam JAMILOV - 81-98 The Forecasts Accuracy During the Economic Crisis and Strategies to Improve it
by Mihaela BRATU (SIMIONESCU) - 100-120 A New Global Governance Framework for the World in Crisis
by Miroslava FILIPOVIC - 122-141 Challenges of Real Estate Sector Development in Central European Countries in the Post-Crisis Period
by Koloman IVANICKA & Daniela ŠPIRKOVÁ - 143-163 Financial Crisis and Preservation of Firms' Value
by Pavel MARINIC - 165-174 Globalization, Firm Performance and Group Affiliation in Emerging Markets: Evidence from Turkey
by Ece Ceylan KARADAGLI - 177-190 2000s:Painful and Turbulent Decade of Debt. How Did We End up in This Mess?
by Taha CHAIECHI - 192-206 The International Monetary System in Flux: Overview and Prospects
by Pedro BAÇÃO & António Portugal DUARTE & Mariana SIMÕES - 208-230 Real Output and Prices Adjustments under Different Exchange Rate Regimes
by Rajmund MIRDALA - 232-249 Should Sub-Saharian Africa Oil Exporter Countries Borrow More in U.S Dollar or Euro to Stabalize Their Balance of Payments? An Empirical Investigation
by Yaya SISSOKO & Soloman KONÉ - 251-263 The Impact of the Global Economic Crisis on the Indebtedness of the Southern European Countries
by Ines KERSAN-SKABIC - 265-273 Main Sources of Finance for Development: Retrospective View on the Evolution of Pre-Crisis Ideas
by Mikhail Anatolyevich SHERSTNEV - 275-294 Debt and Ownership
by Jacek TITTENBRUN - 23 Financial Aspects of Recent Trends in the Global Economy
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