Finance

Name Date published Author
Exchange Rate Regimes and Monetary Independence in East Asia December 2002
The Future of Financial Liberalization in South Asia January 2010
Subsides for FDI: Implications from a Model with Heterogeneous Firms January 2007
Exogenous Shocks and Exchange Rate Management in Developing Countries January 2007
FORECASTING INTEREST RATES – A COMPARATIVE ASSESSMENT OF SOME SECOND GENERATION NON-LINEAR MODELS January 2005
The Specific Allocation Fund (DAK): Mechanism and Uses January 2008
Implications of an RP-US FTA on the Philippine Financial Services Industry and the Philippine Economy January 2006
Managing Capital Flows: The Case of the People’s Republic of China January 2008
Sub-Prime Financial Crisis and US Policy Choices January 2008
Decentralization and Intergovernmental Finance in Japan January 2008
Understanding the ADR premium under market segmentation January 2010
Investigating the Effect of Exchange Rate Changes on the People’s Republic of China’s Processed Exports January 2010
Direction-of-Change Forecasts Based on Conditional Variance, Skewness and Kurtosis Dynamics: International Evidence January 2006
Impact of Financial Reforms on Efficiency of State-owned, Private and Foreign Banks in Pakistan January 2006
BANKING SECTOR REFORMS AND EQUITY – A SUB-REGIONAL ANALYSIS IN ANDHRA PRADESH January 2006
Sequencing of Capital Account Liberalization – Japan’s experiences and their implications to China January 2006
Integrated Financial Supervision: An Institutional Perspective for the Philippines January 2007
Dragon on a Short Leash: An Inside-Out Analysis of China Investment Corporation January 2008
Global imbalances and prospects for the world economy January 2009
Currency Regime and Monetary Autonomy January 2009