Finance

Name Date published Author
Bayesian Analysis of Structural Credit Risk Models with Microstructure Noises January 2009
Bond Market Development in Asia: An Empirical Analysis of Major Determinants June 2011
Call auctions: A solution to some difficulties in Indian finance January 2010
Capital Adequacy Regime in India – An Overview January 2007
Causality between Foreign Direct Investment and Tourism: Empirical Evidence from India January 2009
Causes of and Remedies for the People’s Republic of China’s External Imbalances: The Role of Factor Market Distortion April 2011
Central Banking for Financial Stability in Asia August 2012
China’s Sovereign Wealth Fund: Weakness and Challenges January 2008
China’s New Role in the International Financial Architecture July 2017
Chinese ODI and the Need to Reform Australia’s Foreign Investment Regime March 2016
Climate Change and Poverty Reduction—Where Does Official Development Assistance Money Go? November 2011
Comment on “Realized Variance and Market Microstructure Noise” by Peter R. Hansen and Asger Lunde January 2005
Comments on “A selective overview of nonparametric methods in financial econometrics” January 2005
Comparing GDP in constant and in chained prices: Some new results January 2009
Competitiveness, Income Distribution, and Growth in Thailand: What Does the Long-run Evidence Show? January 2005
Coronavirus (COVID-19) and Indonesia: Modelling the External Financial Shock July 2020
Corporate Debt Restructuring and Public Financial Institutions in Japan -Do Government-Affiliated Financial Institutions Soften Budget Constraints? January 2006
Cost of Holding Excess Reserves – The Indian Experience January 2008
Creating an Association of Southeast Asian Nations Payment System: Policy and Regulatory Issues May 2013
Crisis, Imbalances, and India March 2011