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Group by: Creators | Item Type
Jump to: A | B | C | D | E | F | G | H | I | J | L | M | N | P | S | W
Number of items at this level: 36.

A

Accominotti, Olivier, Lucena-Piquero, Delio and Ugolini, Stefano (2023) Intermediaries’ substitutability and financial network resilience: a hyperstructure approach. Journal of Economic Dynamics and Control, 153. ISSN 0165-1889

Acs, Zoltan J., Brooksbank, David J., O'Gorman, Colm A., Terjesen, Siri and Pickernell, David (2012) The knowledge spillover theory of entrepreneurship: an application to foreign direct investment. International Journal of Entrepreneurship and Small Business, 15 (2). p. 237. ISSN 1476-1297

Aguilera, Ruth, Bermejo, Vicente, Capapé, Javier and Cuñat, Vicente ORCID: 0000-0001-7504-2801 (2021) The systemic governance influence of universal owners: evidence from an expectation document. Financial Markets Group Discussion Papers (825). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Aguilera, Ruth V., J. Bermejo, Vicente, Capapé, Javier and Cuñat, Vicente ORCID: 0000-0001-7504-2801 (2023) The systemic governance influence of expectation documents: evidence from a universal owner. Review of Corporate Finance Studies. ISSN 2046-9128 (In Press)

B

Benigno, Gianluca and Benigno, Pierpalo (2006) Designing targeting rules for international monetary policy cooperation. Journal of Monetary Economics, 53 (3). pp. 473-506. ISSN 0304-3932

Bowen, Alex, Campiglio, Emanuele and Herreras Martinez, Sara (2017) An ‘equal effort’ approach to assessing the North–South climate finance gap. Climate Policy, 17 (2). pp. 231-245. ISSN 1469-3062

Bretscher, Lorenzo, Julliard, Christian and Rosa, Carlo (2015) Human capital and international portfolio diversification: a reappraisal. Systemic Risk Centre Discussion Papers (48). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Bretscher, Lorenzo, Julliard, Christian and Rosa, Carlo (2015) Human capital and international portfolio diversification: a reappraisal. Systemic Risk Centre Discussion Papers (48). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

C

Cespedes, Luis Felipe, Chang, Roberto and Velasco, Andres ORCID: 0000-0003-0441-5062 (2000) Balance sheets and exchange rate policy. NBER Working Paper Series (7840). National Bureau of Economic Research, Cambridge, MA.

Chwieroth, Jeffrey (2008) Organizational change ‘from within’: exploring the World Bank's early lending practices. Review of International Political Economy, 15 (4). pp. 481-505. ISSN 0969-2290

Cingano, Federico and Hassan, Fadi (2020) International financial flows and misallocation. CEP Discussion Papers (1697). Centre for Economic Performance, LSE, London, UK.

Collignon, Stefan (2002) Three years into the Euro: the next step for Europe. In: Caesar, Rolf and Scharrer, Hans-Eckart, (eds.) European Economic and Monetary Inion: an Initial Assessment. Nomos Verlagsgesellschaft, Baden-Baden, Germany. ISBN 9783789078934

Céspedes, Luis Felipe and Velasco, Andres ORCID: 0000-0003-0441-5062 (2012) Macroeconomic performance during commodity price booms and busts. IMF Economic Review, 60 (4). pp. 570-599. ISSN 2041-4161

D

Danielsson, Jon, Valenzuela, Marcela and Zer, Ilknur (2016) Learning from history: volatility and financial crises. Systemic Risk Centre Discussion Papers (57). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Danielsson, Jon, Valenzuela, Marcela and Zer, Ilknur (2018) Learning from history: volatility and financial crises. Review of Financial Studies, 31 (7). 2774 - 2805. ISSN 0893-9454

Danielsson, Jon, Valenzuela, Marcela and Zer, Ilknur (2022) The impact of risk cycles on business cycles: a historical view. Review of Financial Studies. ISSN 0893-9454

de Grauwe, Paul and Skudelny, Frauke (2002) Inflation and productivity differentials in EMU. In: Hairault, Jean-Olivier and Kempf, Hubert, (eds.) Market Imperfections and Macroeconomic Dynamics. Kluwer Academic Publishers, Boston, MA, USA, pp. 77-104. ISBN 9780792374046

de Grauwe, Paul and Westermann, Frank (2012) Financial market regulation in Europe. In: Buettner, Thiess and Ochel, Wolfgang, (eds.) The Continuing Evolution of Europe. CESifo seminar series. MIT Press, Massachusetts, USA, pp. 9-32. ISBN 9780262017015

E

Everson, Michelle (2012) A European banking union will only exacerbate the Eurozone crisis by further reducing democratic accountability. LSE European Politics and Policy (EUROPP) Blog (26 Jul 2012). Website.

F

Ferrara, Federico, Haas, Jörg Stefan, Peterson, A and Sattler, T (2022) Exports vs. investment: how political discourse shapes popular support for external imbalances. Socio-Economic Review, 20 (4). 1961 - 1989. ISSN 1475-1461

G

Gupta, Nandini and Yuan, Kathy (2009) On the growth effect of stock market liberalizations. Review of Financial Studies, 22 (11). pp. 4715-4752. ISSN 0893-9454

H

Henry, Marc and Payne, Richard (1997) An investigation of long range dependence in intra-day foreign exchange rate volatility. Financial Markets Group Discussion Papers (264). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Hughes, Nicola (2012) UK mortgages may be deeply affected by the Eurozone crisis. The government can and should do more to help. British Politics and Policy at LSE (10 Aug 2012). Website.

Husain, Tehreem (2023) Pawned states: state building in the era of international finance. Economic History Review, 76 (2). pp. 694-695. ISSN 0013-0117

I

Ilzetzki, Ethan, Reinhart, Carmen M. and Rogoff, Kenneth S. (2019) Exchange arrangements entering the twenty-first century: which anchor will hold? Quarterly Journal of Economics, 134 (2). 599 - 646. ISSN 0033-5533

Ilzetzki, Ethan, Reinhart, Carmen M. and Rogoff, Kenneth S. (2020) Why is the Euro punching below it’s weight? Economic Policy. ISSN 0266-4658

Ilzetzki, Ethan, Reinhart, Carmen M. and Rogoff, Kenneth S. (2020) Will the secular decline in exchange rate and inflation volatility survive COVID-19? Brookings Papers on Economic Activity, 2020 (Specialedition). pp. 279-332. ISSN 0007-2303

J

Julliard, Christian (2004) Human capital and international portfolio choice. . Christian Julliard, London, UK.

Julliard, Christian (2002) The international diversification puzzle is not worse than you think. . Christian Julliard, London, UK.

L

Layard, Richard (2002) The status quo is not an option. Centrepiece, 7 (1). pp. 30-32. ISSN 1362-3761

M

Makarov, Igor and Schoar, Antoinette (2021) Blockchain analysis of the Bitcoin market. Financial Markets Group Discussion Papers (844). Financial Markets Group, The London School of Economics and Political Science, London, UK.

N

Naqvi, Natalya ORCID: 0000-0003-0821-070X (2022) Economic crisis, global financial cycles, and state control of finance: public development banking in Brazil and South Africa. European Journal of International Relations. ISSN 1460-3713

P

Paravisini, Daniel, Rappoport, Veronica, Schnabl, Philipp and Wolfenzon, Daniel (2011) Dissecting the effect of credit supply on trade: evidence from matched credit-export data. NBER working paper (16975). National Bureau of Economic Research, Massachusetts, USA.

Price, Edward (2012) A reduction in European over-consumption will be undone by any Eurozone solution. LSE European Politics and Policy (EUROPP) Blog (23 Jul 2012). Website.

S

Salomao, Juliana and Varela, Liliana (2018) Exchange rate exposure and firm dynamics. Discussion Papers (12654). Centre for Economic Policy Research (Great Britain), London, UK.

W

Wade, Robert Hunter (2009) From global imbalances to global reorganisations. Cambridge Journal of Economics, 33 (4). pp. 539-562. ISSN 0309-166X

This list was generated on Mon Mar 18 17:15:28 2024 GMT.