Response of Stock Markets to Monetary Policy: An Asian Stock Market Perspective
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September 2014
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Rethinking Capital Flows for Emerging East Asia
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June 2012
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Reverse Mortgages as Retirement Financing Instrument: An Option for “Asset-rich and Cash-poor†Singaporeans
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January 2005
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Revisiting the Internationalization of the Yuan
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July 2012
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Risk-On/Risk-Off, Capital Flows, Leverage, and Safe Assets
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January 2013
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Risk-return Efficiency, Financial Distress Risk, and Bank Financial Strength Ratings
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January 2010
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Securitized Products, Financial Regulation, and Systemic Risk
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January 2010
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Sequencing of Capital Account Liberalization – Japan’s experiences and their implications to China
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January 2006
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Services Policy Reform in the People’s Republic of China: Before and After the Global Financial Crisis
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August 2011
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Simulation-based Estimation of Contingent-claims Prices
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January 2008
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Solicited and Unsolicited Credit Ratings: A Global Perspective
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January 2010
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South-South FDI vs North-South FDI: A Comparative Analysis in the Context of India
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January 2009
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Stagnation vs Singularity: The Global Implications of Alternative Productivity Growth Scenarios
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March 2019
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Stochastic Dominance Analysis of iShares
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April 2007
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Stochastic Dominance and Mean-Variance Measures of Profit and Loss for Business Planning and Investment
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April 2007
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Stock Market Co-Movement and Exchange Rate Flexibility: Experience of the Republic of Korea
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May 2014
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Stock Market Liberalisations in the South Asian Region
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January 2006
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Stock Market Reaction to Catastrophic Shock: Evidence from Listed Pakistani Firms
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January 2007
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Stock Price Manipulation: The Role of Intermediaries
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January 2007
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Stock Returns-Inflation Relation in India
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January 2008
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