Explosive Behavior in the 1990s Nasdaq: When Did Exuberance Escalate Asset Values?
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January 2009
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E-Finance Development in Korea
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April 2011
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Do Banks Respond to Capital Requirement? Evidence from Indonesia
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September 2007
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The Future of Financial Liberalization in South Asia
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January 2010
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Foreign Direct Investment and Economic Growth: The Role of Domestic Financial Sector
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January 2007
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Structural Change in Japanese Business Fluctuations and Nikkei 225 Stock Index Futures Transactions
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January 2005
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An Analysis of Life Insurance Demand Determinants for Selected Asian Economies and India
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January 2008
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The Changes of Accounting Standards and Structural Reform in Japanese companies
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January 2006
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Regulatory Structure for Financial Stability and Development
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January 2010
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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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Dating the Timeline of Financial Bubbles During the Subprime Crisis
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January 2009
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Appropriate Exchange Rate Regime in Developing Countries: The Case of Korea
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October 2000
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The Determinants of Cross-border M&As: the Role of Institutions and Financial Development in Gravity Model
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November 2007
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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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Volatility Spillover between the Stock Market and the Foreign Market in Pakistan
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January 2006
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The Public Financial System in Japan – Re-verification
of the ballooning theory and the privileged government enterprise theory
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January 2005
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Stock Returns-Inflation Relation in India
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January 2008
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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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The Impact of the Global Financial Crisis on Poverty in the Philippines
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January 2010
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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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