Name Date published Author
International Reserves and Swap Lines in Times of Financial Distress: Overview and Interpretations January 2010
The 2008 Financial Crisis and Potential Output in Asia: Impact and Policy Implications January 2010
Graduating to Globalisation: A Study of Southern Multinationals January 2010
Regional Monitoring of Capital Flows and Coordination of Financial Regulation: Stakes and Options for Asia January 2010
FDI and Spillover Effects in the Indian Pharmaceutical Industry January 2006
Capital Adequacy Regime in India – An Overview January 2007
Underpriced Default Spread Exacerbates Market Crashes January 2006
Have Exchange Rate Regimes in Asia become More Flexible Post crisis? Re-VISITING the EVIDENCE January 2005
Fiscal Rules and Targets and Public Expenditure Management – Enthusiasm in the 1990s and its Aftermath January 2005
The Role of Convertible Securities in Venture Capital Financing January 2009
Securitized Products, Financial Regulation, and Systemic Risk January 2010
East Asian Financial and Monetary Cooperation and Its Prospect: Beyond the CMI January 2010
Dynamic Provisioning: Some Lessons from Existing Experiences January 2010
The Financial Crisis: A Wake-Up Call for Strengthening Regional Monitoring of Financial Markets and Regional Coordination of Financial Sector Policies? January 2010
Monetary and Financial Cooperation in Asia: Emerging Trends and Prospects January 2006
Index of Financial Inclusion January 2008
Comments on “A selective overview of nonparametric methods in financial econometrics” January 2005
Reverse Mortgages as Retirement Financing Instrument: An Option for “Asset-rich and Cash-poor” Singaporeans January 2005
Korea’s Unemployment Insurance in the 1998 Asian Financial Crisis and Adjustments in the 2008 Global Financial Crisis January 2010
Financial Leverage and Market Volatility with Diverse Beliefs January 2009