Finance

Name Date published Author
Has Financial Liberalization Improved Economic Efficiency in the Republic of Korea? Evidence from Firm-Level and Industry-Level Data May 2014
Growth of Asian Pension Assets: Implications for Financial and Capital Markets May 2012
Graduating to Globalisation: A Study of Southern Multinationals January 2010
Global Implications of the Renminbi’s Ascendance March 2014
Global Imbalances in a World of Inflexible Real Exchange Rates and Capital Controls December 2011
Global imbalances and prospects for the world economy January 2009
Global Financial Architecture: past and present arguments, advice, action January 2009
Foreign Direct Investment and Economic Growth: The Role of Domestic Financial Sector January 2007
Forecasting Realized Volatility Using A Nonnegative Semiparametric Model January 2009
FORECASTING INTEREST RATES – A COMPARATIVE ASSESSMENT OF SOME SECOND GENERATION NON-LINEAR MODELS January 2005
Fiscal Rules and Targets and Public Expenditure Management – Enthusiasm in the 1990s and its Aftermath January 2005
Fiscal Policy Issues for India after the Global Financial Crisis (2008–2010) September 2010
Fiscal Decentralisation and Local Public Good Provision in China June 2005
Firms’ Perceptions of the Business Cycle and Their Managerial and Financial Conditions January 2007
Financing Strategy for Achievement of the MDGs and Implementation of the Tenth Five Year Plan January 2009
Financing Development Cooperation in Northeast Asia February 2013
Financing Asia’s Infrastructure: Modes of Development and Integration of Asian Financial Markets January 2010
Financial Turmoil in the Banking Sector and the Asian Lamfalussy Process: The Case of Four Economies January 2010
Financial Stability and Financial Inclusion July 2014
Financial Services Integration in East Asia: Lessons from the European Union January 2008