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Book
Collateral Damage: Trade Disruption and the Economic Impact of War
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Year: 2005 Publisher: Cambridge, Mass. National Bureau of Economic Research

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Book
Does a Currency Union Affect Trade? The Time Series Evidence
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Year: 2001 Publisher: Cambridge, Mass. National Bureau of Economic Research

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Contagion and Trade: Why Are Currency Crises Regional?
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Year: 1998 Publisher: Cambridge, Mass. National Bureau of Economic Research

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Book
Global Versus Country-Specific Productivity Shocks and the Current Account
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Year: 1992 Publisher: Cambridge, Mass. National Bureau of Economic Research

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Currency Unions and Trade : A Post-EMU Mea Culpa
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Year: 2015 Publisher: National Bureau of Economic Research

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Exchange rate policy and interdependence: perspectives from the Pacific Basin
Authors: ---
ISBN: 0521461103 0521041236 0511664591 9780521461108 9780511664595 9780521041232 Year: 1994 Publisher: Cambridge: Cambridge university press,

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Why countries choose different exchange rate arrangements and how these arrangements affect domestic monetary policy control and macroeconomic stability are questions of substantial interest to policy makers and researchers alike. The countries of the Pacific Basin region offer a wide variety of examples for the comparative study of the implications of different exchange rate arrangements. The essays in this volume examine the degree of financial interdependence and the conduct of exchange rate and monetary policy among Pacific Basin countries. The essays address four broad issues: one, the degree of regional financial market integration in the Pacific Basin, two, the implications of choosing different exchange rate regimes for domestic macroeconomic stability, three, the effect of exchange rate intervention policy on the conduct of domestic monetary policy, and four, the prospects for a yen currency bloc. Some of the essays focus on the national experience of specific countries in the Pacific Basin; others adopt a cross-country comparison approach.

Keywords

International economic relations --- International finance --- Foreign exchange --- Monetary policy --- Government policy --- Congresses. --- AA / International- internationaal --- ASI / Asia - Azië - Asie --- JP / Japan - Japon --- US / United States of America - USA - Verenigde Staten - Etats Unis --- 382.242.0 --- 305.92 --- 333.450 --- 382.11 --- NBB congres --- 339.74 <5> --- -Monetary policy --- -332.456099 --- Monetary management --- Economic policy --- Currency boards --- Money supply --- Cambistry --- Currency exchange --- Exchange, Foreign --- Foreign currency --- Foreign exchange problem --- Foreign money --- Forex --- FX (Finance) --- International exchange --- Currency crises --- Balans van het kapitaalverkeer: algemeenheden. --- Econometrie van de internationale handel. Handelsbalans, betalingsbalans. Wissel. --- Theorie van het deviezenverkeer. Theorie van de koopkrachtpariteit. --- Theorie van het internationale evenwicht. Economische onafhankelijkheid van een natie. Globalisering. Mondialisering. --- Monetaire buitenlandse politiek. Deviezenpolitiek--Azië --- -Congresses --- Congresses --- Conferences - Meetings --- 339.74 <5> Monetaire buitenlandse politiek. Deviezenpolitiek--Azië --- 332.456099 --- Government policy&delete& --- Econometrie van de internationale handel. Handelsbalans, betalingsbalans. Wissel --- Theorie van het deviezenverkeer. Theorie van de koopkrachtpariteit --- Theorie van het internationale evenwicht. Economische onafhankelijkheid van een natie. Globalisering. Mondialisering --- Balans van het kapitaalverkeer: algemeenheden --- Business, Economy and Management --- Economics --- Foreign exchange - Government policy - Pacific Area - Congresses. --- Monetary policy - Pacific Area - Congresses.

Financial crises in emerging markets
Authors: --- --- ---
ISBN: 052180020X 0521172187 0511572158 Year: 2001 Publisher: Cambridge : Cambridge University Press,

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This 2001 book looks at numerous financial crises, beginning with Mexico in 1994-1995, the Asian crisis of 1997-1998, and the crises in Russia, Brazil, and other Latin American countries in 1998-1999. Such contemporary crises illustrate the risks of financial volatility and macroeconomic instability during the process of economic growth and development. They also raise issues regarding the management of risks associated with liberalization and global integration, particularly in financial markets. Concerns about the implications of international capital flows for developing countries have grown with the sharply increased volume of these flows since the late 1980s. The essays in this volume provide analysis and evidence on the determinants of currency and banking crises in emerging markets, the specific roles of capital flows and the financial sector, and the appropriateness of various policy responses.

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