Ergebnisse für *

Zeige Ergebnisse 1 bis 25 von 31.

  1. The challenges of monetary convergence in Europe
  2. Noise Traders? Trigger Rates, FX Options, and Smiles
    Erschienen: 2000
    Verlag:  Kiel Institute for the World Economy (IfW), Kiel

    Export in Literaturverwaltung   RIS-Format
      BibTeX-Format
  3. Banking and balance of payments crises
    On possible causes of the twin crises
  4. Noise traders' trigger rates, FX options, and smiles
    Erschienen: 2000
    Verlag:  Inst. of World Economics, Kiel

    Export in Literaturverwaltung   RIS-Format
      BibTeX-Format
    Hinweise zum Inhalt
  5. Predicting real exchange rates from real interest rate differentials and net foreign asset stocks
    evidence for the mark dollar parity
  6. Sudden Stops in Capital Inflows and the Design of Exchange Rate Regimes
  7. Interest rate volatility prior to monetary union under alternative pre-switch regimes
    Autor*in: Wilfling, Bernd
    Erschienen: 2001
    Verlag:  Hamburg Institute of International Economics (HWWA), Hamburg

  8. The convergence of international interest rates prior to Monetary Union
    Autor*in: Wilfling, Bernd
    Erschienen: 2001
    Verlag:  Hamburg Institute of International Economics (HWWA), Hamburg

  9. Since when have FOREX markets incorporated EMU into currency pricing? Evidence from four exchange rate series
  10. Interest rate volatility prior to monetary union under alternative pre-switch regimes
  11. The convergence of international interest rates prior to Monetary Union
  12. On the hump-shaped output effect of monetary policy in an open economy
  13. Productivity shocks and delayed exchange rate overshooting
  14. Banking and balance of payments crises
    on possible causes of the twin crises
  15. Sudden stops in capital inflows and the design of exchange rate regimes
  16. Noise trading and the effects of monetary policy shocks on nominal and real exchange rates
  17. Since when have FOREX markets incorporated EMU into currency pricing?
    evidence from four exchange rate series
  18. The integration of imperfect financial markets
    implications for business cycle volatility ; [this paper is part of a research project on "Volatility in the global economy: the role of financial markets"]
  19. The effectiveness of the interventions of the Swiss National Bank
    an event study analysis
  20. The challenges of monetary convergence in Europe
  21. The term structure of redenomination risk
    Erschienen: 2018
    Verlag:  Deutsches Institut für Wirtschaftsforschung (DIW), Berlin

    Export in Literaturverwaltung   RIS-Format
      BibTeX-Format
    Quelle: Verbundkataloge
    Sprache: Englisch
    Medientyp: Buch (Monographie)
    Format: Online
    Weitere Identifier:
    hdl: 10419/180639
    Schriftenreihe: DIW Discussion Papers ; 1740
    Schlagworte: Zinsstruktur; Bundesanleihe; Konsol; Staatsanleihe; Zwangsanleihe; Risiko
    Weitere Schlagworte: (stw)Zinsstruktur; (stw)Öffentliche Anleihe; (stw)Risiko; (stw)Eurozone; (stw)Deutschland; (stw)Frankreich; (stw)Italien; jel:E44; jel:F31; jel:F33; jel:F45; jel:G12; jel:G14; Euro Crisis; Redenomination Risk; Yield Curve; ECB Interventions; Graue Literatur
    Umfang: Online-Ressource
  22. When is foreign exchange intervention effective? Evidence from 33 countries
  23. Productivity Shocks and Delayed Exchange-Rate Overshooting
  24. On the Hump-Shaped Output Effect of Monetary Policy in an Open Economy
  25. Noise Trading and the Effects of Monetary Policy Shocks on Nominal and Real Exchange Rates
    Erschienen: 2003
    Verlag:  Kiel Institute for the World Economy (IfW), Kiel