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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China’s Factor in Recent Global Commodity Price and Shipping Freight Volatilities
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January 2009
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Contagion and Risk in the Amplification of Crisis: Evidence from Asian Names in the CDS Market
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January 2009
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Diversification, Propping and Monitoring – Business Groups, Firm Performance and the Indian Economic Transition
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January 2005
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Exchange Rate Exposure of Sectoral Returns and Volatilities: Evidence from Japanese Industrial Sectors
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June 2007
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Financial Development: A Broader Perspective
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January 2010
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Financial Development: A Broader Perspective
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December 2010
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Financial Globalization in Emerging Countries: Diversification vs. Offshoring
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October 2012
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Financial Inclusion and Financial Stability: Current Policy Issues
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January 2010
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