Search

Search Constraints

Begin New Search You searched for: Topic Financial Markets Remove constraint Topic: Financial Markets Publication Year within 25 Years Remove constraint Publication Year: within 25 Years Publication Year within 10 Years Remove constraint Publication Year: within 10 Years

Search Results

1. Sanction-busting through tax havens

2. Signaling Virtue or Vulnerability? The Changing Impact of Exchange Rate Regimes on Government Bond Yields

3. Energy Markets and the Design of Sanctions on Russia

4. Signaling Virtue or Vulnerability? The Changing Impact of Exchange Rate Regimes on Government Bond Yields

5. Financial Market Responses to Government COVID-19 Pandemic Interventions: Empirical Evidence from South-East and East Asia

6. Aviation Market Development in the New Normal Post the COVID-19 Pandemic: An Analysis of Air Connectivity and Business Travel

7. China's Financial Opening Accelerates

8. Primary Dealer Systems in the European Union

9. Financing for the Polish economy: prospects and threats

10. Financial Inclusion and its Impact on Employment Creation in Botswana

11. Emerging Countries in Global Financial Standard Setting: Explaining Relative Resilience and Its Implications

12. Assessing China’s Financial Reform: Changing Roles of the Repressive Financial Policies

13. Belt and Road in Latin America: A regional game changer?

14. China’s economy seeks bottom amid downward pressure in 2019

15. MFF Negotiations: What Czechs think of the latest development

16. How Market Sentiment Drives Forecasts of Stock Returns

17. Financial Sector Cybersecurity Requirements in the Asia-Pacific Region

18. 3 Reasons Why the Fed Wants to Keep Raising Interest Rates

19. Financial Market Integration and Income Inequality

20. From Silicon Valley to Shenzhen: Dollar Exposures in Chinese Fintech

21. The Relevance of Financial and Economic Factors for Determining Banking Risk across Europe

22. The Labor Market Effects of Refugee Waves: Reconciling Conflicting Results

23. Immigration Restrictions as Active Labor Market Policy: Evidence from the Mexican Bracero Exclusion

24. Why the EU will have an industrial policy – but not necessarily a good one

25. The condition of and prospects for the private equity funds market in Poland

26. A Deeper Look at China’s “Going Out” Policy

27. Assessing the Governance Practices of Sustainability Reporting

28. Economic Discourse and the European Integration of Financial Infrastructures and Financial Markets

29. Progress of Energy Union Implementation: The Case Of Azerbaijan

30. Why Azerbaijan needs a Strategic Reform of its foreign policy towards the European Union?

31. Financial Regulations for Improving Financial Inclusion

32. Financial Reforms in Myanmar and Japan's Engagement

33. The Personal Wealth Interests of Politicians and the Stabilization of Financial Markets

34. Post-privatisation Corporate Performance in Poland. Evidence from Companies Privatized in 2008-2011

35. The Banking Union: State of Art

36. Does EU Regulation Hinder or Stimulate Innovation?

37. Leaning Into the Energy System of the Future

38. Next Steps for the G20: Turkey 2015

39. The End of the Beginning: Paris COP 2015

40. Central Banks Can and Should Do Their Part in Funding Sustainability

41. From Catching Up to Forging Ahead: China’s Policies for Semiconductors

42. Unconventional Monetary Policy, Spillovers, and Liftoff: Implications for Northeast Asia

43. We Are Relevant, Influential and Respected

44. Power to the States: Making Fiscal Transfers Work for Better Health

45. The Rise of the European Consolidation State

46. Rio de Janeiro as a Global Financial Center

47. Natural Resources and Capital Flight: A Role for Policy?

48. Reinsurance in Brazil: the challenges and opportunities of the opening of the market