Name Date published Author
International Financial Integration and Crisis Intensity January 2012
Internal Promotion and the Effect of Board Monitoring: A Comparison of Japan and the United States January 2010
Integrated Financial Supervision: An Institutional Perspective for the Philippines January 2007
Insecurities of the old and marginalized: Inflation, Oil Shocks, Financial Crisis and Social Security January 2009
Innovative Approaches to Managing Longevity Risk in Asia: Lessons from the West April 2012
Indian Capital Control Liberalization : Evidence from NDF Markets January 2009
Index of Financial Inclusion January 2008
Inadequate Regional Financial Safety Nets Reflect Complacency March 2013
Implications of an RP-US FTA on the Philippine Financial Services Industry and the Philippine Economy January 2006
Impact of US Quantitative Easing Policy on Emerging Asia November 2011
Impact Of Proposed Commodity Transaction Tax On Futures Trading In India January 2008
Impact of Financial Reforms on Efficiency of State-owned, Private and Foreign Banks in Pakistan January 2006
Impact of Financial Liberalisation and Deregulation on Banking Sector in Pakistan January 2010
Impact of Changes in the Global Financial Regulatory Landscape on Asian Emerging Markets October 2012
East Asian Financial and Monetary Cooperation and Its Prospect: Beyond the CMI January 2010
How Useful Is an Asian Currency Unit (ACU) Index for Surveillance in East Asia? March 2013
How Should We Bank With Foreigners?—An Empirical Assessment of Lending Behavior of International Banks to Six East Asian Economies October 2012
How Far Can Renminbi Internationalization Go? February 2014
Host Country Financial Development and MNC Activity January 2007
Have Exchange Rate Regimes in Asia become More Flexible Post crisis? Re-VISITING the EVIDENCE January 2005