Items where Subject is "H Social Sciences > HJ Public Finance"

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Number of items at this level: 23.

B

Bailey, A., Lang, T. & Schoen, V. (2016). Does the CAP still fit?. UK: Food Research Collaboration.

Beck, T. (2014). Finance, growth, and stability: Lessons from the crisis. Journal of Financial Stability, 10, pp. 1-6. doi: 10.1016/j.jfs.2013.12.006

Beck, T. (2014). Ireland's banking system - Looking forward. Economic and Social Review, 45(1), pp. 113-134.

C

Casu, B., Deng, B. & Ferrari, A. (2016). Post-crisis regulatory reforms and bank performance: lessons from Asia. European Journal of Finance, doi: 10.1080/1351847X.2016.1177566

Chiaramonte, L. & Casu, B. (2016). Capital and liquidity ratios and financial distress. Evidence from the European banking industry. British Accounting Review, doi: 10.1016/j.bar.2016.04.001

D

Dassiou, X. (2016). Charter Review price setting models - a rail and road comparison study. BBC Trust.

Deo, S., Franz, C., Gandrud, C. & Hallerberg, M. (2015). Preventing German bank failures: Federalism and decisions to save troubled banks. Politische Vierteljahresschrift, 56(2), pp. 159-181. doi: 10.5771/0032-3470-2015-2-159

E

Estache, A., Gonzalez, M. & Trujillo, L. (2007). Government expenditure on education, health and infrastructure: a naive look at levels, outcomes and efficiency (Report No. 07/03). London, UK: Department of Economics, City University London.

F

Fahey, E. (2011). Does the Emperor have Financial Crisis Clothes? On the Legal basis of the European Banking Authority. The Modern Law Review, 74(4), pp. 581-595. doi: 10.1111/j.1468-2230.2011.00861.x

G

Gandrud, C. (2013). The diffusion of financial supervisory governance ideas. Review of International Political Economy, 20(4), pp. 881-916. doi: 10.1080/09692290.2012.727362

Gandrud, C. & Hallerberg, M. (2015). Does Banking Union Worsen the EU's Democratic Deficit? The Need for Greater Supervisory Data Transparency. Journal of Common Market Studies, 53(4), pp. 769-785. doi: 10.1111/jcms.12226

Gandrud, C. & Hallerberg, M. (2016). Statistical Agencies and Responses to Financial Crises: Eurostat, Bad Banks, and the ESM. West European Politics, 39(3), pp. 545-564. doi: 10.1080/01402382.2016.1143239

Gandrud, C. & Hallerberg, M. (2015). When all is said and done: updating "Elections, special interests, and financial crisis". Research & Politics, 2(3), pp. 1-9. doi: 10.1177/2053168015589335

Georgievska, A., Georgievska, L., Stojanovic, A. & Todorovic, N. (2011). Country Debt Default Probabilities in Emerging Markets: Were Credit Rating Agencies Wrong? In: R. W. Kolb (Ed.), Sovereign Debt: From Safety to Default. (pp. 353-360). Wiley. ISBN 978-0-470-92239-2

H

Hager, S. B. (2016). A global bond: Explaining the safe-haven status of US Treasury securities. European Journal of International Relations, doi: 10.1177/1354066116657400

Hatzopoulos, V., Iori, G., Mantegna, R., Micciche, S. & Tumminello, M. (2015). Quantifying preferential trading in the e-MID interbank market. Quantitative Finance, 15(4), pp. 693-710. doi: 10.1080/14697688.2014.969889

K

Kovras, I. & Loizides, N. (2014). The greek debt crisis and Southern Europe: Majoritarian pitfalls?. Comparative Politics, 47(1), pp. 1-20. doi: 10.5129/001041514813623164

L

Legrenzi, G. & Milas, C. (2004). Non-linear adjustments in fiscal policy (Report No. 04/06). London, UK: Department of Economics, City University London.

Levine, P., Pearlman, J. & Yang, B. (2013). Imperfection Information, Optimal Monetary Policy and Informational Consistency (Report No. 13/13). London, UK: Department of Economics, City University London.

M

Martin, C. & Milas, C. (2004). Uncertainty and UK Monetary Policy (Report No. 04/05). London, UK: Department of Economics, City University London.

P

Pagliari, S. (2012). How Can We Mitigate Capture in Financial Regulation? In: S. Pagliari (Ed.), Making Good Financial Regulation: Towards a Policy Response to Regulatory Capture. (pp. 1-50). International Centre for Financial Regulation. ISBN 9781781485484

Pagliari, S. & Young, K. (2012). Who Mobilizes? An Analysis of Stakeholder Responses to Financial Policy Consultations. In: S. Pagliari (Ed.), Making Good Financial Regulation - Towards a Policy Response to Regulatory Capture. (pp. 85-98). International Centre for Financial Regulation. ISBN 9781781485484

Parmar, D., Leone, T., Coast, E., Hukin, E., Murray, S. & Vwalika, B. (2014). Health system costs of safe abortion and post abortion care from unsafe induced abortions in Zambia. Paper presented at the Third International Conference of the African Health Economics and Policy Association (AfHEA), 11-03-2014-13-03-2014, Nairobi, Kenya.

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