Call Number (LC) Title Results
HG3766 .M29 2002eb Republic of debtors : bankruptcy in the age of American independence / 1
HG3766.M29 2009 Republic of Debtors : Bankruptcy in the Age of American Independence. 1
HG3766 .S75 Bankruptcy: problem, process, reform 1
HG3766 .S794 2000 The fragile middle class : Americans in debt / 1
HG3766 .S794 2000eb The fragile middle class : Americans in debt / 1
HG3766 .S794 2020eb The Fragile Middle Class : Americans in Debt / 1
HG3766 .V97 2008 Going broke : why Americans can't hold on to their money / 1
HG3766 .V97 2018ab Going broke : why Americans (still) can't hold on to their money / 1
HG3766 .W2 Bankruptcy in United States history. 1
HG3769.E85 H57 2012 The History of Bankruptcy : Economic, Social and Cultural Implications in Early Modern Europe. 1
HG3769.I85 .F56 2012 Financial Systems in Troubled Waters : Information, Strategies, and Governance to Enhance Performances in Risky Times. 1
HG3810 Global Imbalances : the Role of Non-Tradabletotal Factor Productivity in Advanced Economies /
Trade sensitivity to exchange rates in the context of intra-industry trade /
Are weak banks leading credit booms? : evidence from emerging Europe /
Real and financial sector linkages in China and India /
Why do countries peg the way they peg? : the determinants of anchor currency choice /
How does a domestic tax reform affect protection against imports? : the case of the Republic of Madagascar /
Medium-term budgetary frameworks : lessons for Austria from international experience /
Fiscal incentive effects of the German equalization system /
Accounting for output drops in Latin America /
Developing a structured forecasting and policy analysis system to support inflation-forecast targeting (IFT) /
Global relative poverty /
Assessing exchange rate competitiveness in the eastern Caribbean currency union /
Inflation targeting under imperfect policy credibility /
Bank efficiency in Sub-Saharan African middle-income countries /
A coincident indicator of the Gulf Cooperation Council (GCC) business cycle /
Fiscal vulnerability and sustainability in oil-producing Sub-Saharan African countries /
Incorporating market information into the construction of the fan chart /
The Gambia : demand for broad money and implications for monetary policy conduct /
Understanding the growth of African financial markets /
Does good financial performance mean good financial intermediation in China? /
The challenge of enforcement in securities markets : mission impossible? /
Who benefits from capital account liberalization? : evidence from firm-level credit ratings data /
Forecasting inflation in Sudan /
A primer on fiscal analysis in oil-producing countries /
Ponzi schemes in the Caribbean /
A multi-industry model of growth with financing constraints /
Panacea, curse, or nonevent? : unconventional monetary policy in the United Kingdom /
An assessment of external price competitiveness for Mozambique /
The composition matters : capital inflows and liquidity crunch during a global economic crisis /
The determinants of commercial bank profitability in Sub-Saharan Africa /
From subprime loans to subprime growth? : evidence for the Euro area /
International currency portfolios /
Global liquidity, risk premiums and growth opportunities /
Forces driving inflation in the new EU10 members /
A new Keynesian model of the Armenian economy /
A framework for financial market development /
International evidence on recovery from recessions /
Governance practices at financial regulatory and supervisory agencies /
Fiscal sustainability in remittance-dependent economies /
Monetary policy and the Central Bank in Jordan /
How good are ex ante program evaluation techniques? : the case of school enrollment in PROGRESA /
Monetary and fiscal rules in an emerging small open economy /
Causes, benefits, and risks of business tax incentives /
Does global liquidity matter for monetary policy in the euro area? /
What is really good for long-term growth? : lessons from a binary classification tree (BCT) approach /
Zero corporate income tax in Moldova : tax competition and its implications for Eastern Europe /
Measures of underlying inflation in Sri Lanka /
Inflation pressures and monetary policy options in emerging and developing countries : a cross regional perspective /
Banking stability measures /
On impatience and policy effectiveness /
Can the Eastern Caribbean Currency Union afford to grow old? /
Procyclicality and fair value accounting /
Dedollarization in Liberia : lessons from cross-country experience /
Deleveraging after Lehman : evidence from reduced rehypothecation /
Competition in the financial sector : overview of competition policies /
Sovereign default, private sector creditors and the IFIs /
Targeting social transfers to the poor in Mexico /
Exchange rates and wages in an integrated world /
Determinants of inflation in GCC /
Accrual budgeting and fiscal policy /
Adding Latin America to the global projection model /
Dissecting Taylor rules in a structural VAR /
What determines bond market development in Sub-Saharan Africa? /
A European mandate for financial sector supervisors in the EU /
Regional financial interlinkages and financial contagion within Europe /
What goes up must come down? : house price dynamics in the United States /
Do the gulf oil-producing countries influence regional growth? : the impact of financial and remittance flows /
Strategic interactions between an independent central bank and a myopic government with government debt /
Balance of payments anti-crises /
The systemic regulation of credit rating agencies and rated markets /
Contingent liabilities : issues and practice /
One money, one market : a revised benchmark /
An estimated model with macrofinancial linkages for India /
The location of domestic and foreign production affiliates by French multinational firms /
Constructing forecast confidence bands during the financial crisis /
The costs of sovereign default /
Why are Canadian banks more resilient? /
Fiscal cycles in the Caribbean /
How effective is fiscal policy response in systemic banking crises? /
The missing link between financial constraints and productivity /
French banks amid the global financial crisis /
Interest rate liberalization in China /
The effects of the financial crisis on public-private partnerships /
Anatomy of regional disparities in the Slovak Republic /
Spillovers from the rest of the world into Sub-Saharan African countries /
Macroeconomic fundamentals, price discovery and volatility dynamics in emerging markets /
Advanced public financial management reforms in south east Europe /
The persistence of capital account crises /
Fiscal stimulus with spending reversals /
Exchange rate assessment for oil exporters /
Estimating default frequencies and macrofinancial linkages in the Mexican banking sector /
Credit risk spreads in local and foreign currencies /
Out of the box thoughts about the international financial architecture /
The role for counter-cyclical fiscal policy in Singapore /
The myth of post-reform income stagnation : evidence from Brazil and Mexico /
Financial spillovers to emerging markets during the global financial crisis /
Why do central banks go weak? /
How can Burundi raise its growth rate? : the impact of civil conflicts and state intervention on Burundi's growth performance /
Sub-Saharan Africa's integration in the global financial markets /
Limited information Bayesian Model Averaging for dynamic panels with short time periods /
Simple, implementable fiscal policy rules /
Grants, remittances, and the equilibrium real exchange rate in Sub-Saharan African countries /
Broad money demand and asset substitution in China /
Optimal reserves in the Eastern Caribbean Currency Union /
Tanzania's equilibrium real exchange rate /
The size of government and U.S.-European differences in economic performance /
Empirical evidence on the effects of tax incentives /
Optimal monetary and fiscal policy with limited asset market participation /
Decoupling from the east toward the west? : analyses of spillovers to the Baltic countries /
Why inflation targeting? /
Inflation hedging for long-term investors /
Global imbalances and petrodollars /
Garbage in, gospel out? : controlling for the underreporting of remittances /
The impact of research and development tax incentives on Colombia's manufacturing sector : what difference do they make? /
Fundamentals at odds? : the U.S. current account deficit and the dollar /
Are emerging Asia's reserves really too high? /
IT framework design parameters /
Perspectives on high real interest rates in Turkey /
The Option-iPoD : the probability of default implied by option prices based on entropy /
Much ado about nothing? : estimating the impact of a U.S. slowdown on Thai growth /
Central bank involvement in banking crises in Latin America /
121
HG3810-4000 Advances in Islamic Finance, Marketing, and Management: An Asian Perspective.
Globalization of foreign investment in Africa : the role of Europe, China and India.
Management of Islamic Finance : Principle, Practice, and Performance.
International Corporate Governance and Regulation.
4
HG3810 .E45 2012eb Assessing the cost of financial regulation / 1
HG3810 .H35 2012eb Handbook of exchange rates / 1
HG3810 .I44 v.2006, no.100 Using the balance sheet approach in surveillance : framework, data sources, and data availability / 1
HG3810 .I44 v.2006, no.121 Public debt, money supply, and inflation : a cross-country study and its applications to Jamaica / 1
HG3810 .I44 v.2009, no.51 Forces driving inflation in the new EU10 members / 1
HG3810 .I44 v.2009, no.52 Global liquidity, risk premiums and growth opportunities / 1
HG3810 .I45 WP/09/106 Fiscal stimulus with spending reversals / 1