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