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Macroeconomic Volatility, Institutions And Financial Architecture

financial turmoil and macro volatility. The book analyzes the experiences of several countries, drawing implications for building development;

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Recent Econometric Techniques for Macroeconomic and Financial Data

The book provides a comprehensive overview of the latest econometric methods for studying the dynamics of macroeconomic and financial time;

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Financial & Macroeconomic Connectedness

financial markets. Interest in financial markets implies interest in underlying macroeconomic fundamentals. In Financial and Macroeconomic;

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Globalisation and Macroeconomic Volatility

decades, goods trade and financial flows have risen strikingly. Macroeconomic volatility can refer to several aggregates such as output and its;

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Regional Financial Cooperation

the volatility of private capital flows, and make their voices heard. The 1997 Asian financial crisis generated extensive debate on the;

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Reaping the Benefits of Financial Globalization

international risk sharing, reduce macroeconomic volatility, and foster economic growth, in practice its effects are less clear-cut. This paper;

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Volatility and Growth

of macroeconomic volatility on productivity growth, and also the reverse causality from growth to business cycles. The authors show that by looking at the;

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Stock Market Volatility

levels of volatility in global stock markets, money managers, financial institutions, investment banks, financial analysts, and others need to;

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Stock Market Volatility

levels of volatility in global stock markets, money managers, financial institutions, investment banks, financial analysts, and others need to;

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Macro-Financial Linkages in the Pacific Region

in terms of international macro-financial linkages to the global capital market and domestic financial development,. The book also discusses how;

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Macro-Financial Linkages in the Pacific Region

in terms of international macro-financial linkages to the global capital market and domestic financial development,. The book also discusses how;

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Managing Economic Volatility and Crises

price volatility; the financial sector's dual role as an absorber and amplifier of shocks; and the management and prevention of macroeconomic;

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Managing Economic Volatility and Crises

price volatility; the financial sector's dual role as an absorber and amplifier of shocks; and the management and prevention of macroeconomic;

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Financial Inclusion in Asia and Beyond

measurement of financial inclusion, the impact of (various indicators of) financial inclusion on development outcomes and macroeconomic volatility;

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The Political Economy of Macroeconomic Policy Reform in Latin America

of (i) macroeconomic performance and volatility, (ii) equity and distributive justice, (iii) fiscal deficits and the redistributive;

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The Political Economy of Macroeconomic Policy Reform in Latin America

of (i) macroeconomic performance and volatility, (ii) equity and distributive justice, (iii) fiscal deficits and the redistributive;

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Financial Volatility and Real Economic Activity

first step towards increasing both financial economists' and policy-makers' understanding of the interrelated causes of financial volatility;

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Financial Volatility and Real Economic Activity

first step towards increasing both financial economists' and policy-makers' understanding of the interrelated causes of financial volatility;

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Time Series In High Dimensions

macroeconomic and financial data.;

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Inflation Volatility versus Institutions

is intuitive in the sense that reducing inflation volatility is costly on output, while improving financial institutions is a cost free policy.;

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Macroeconomic Shocks and Unconventional Monetary Policy

central banks has given rise to concerns over financial stability and international capital flows. Macroeconomic Shocks and Unconventional;

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Financial Liberalization and the Asian Crisis

liquidity and volatility, and calls for a more cautious approach to financial liberalization, and a reform of the international financial;

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Managing Economic Volatility in Latin America (Spanish)

How has Latin America coped with external shocks and economic vulnerabilities in the aftermath of the global financial crisis? Managing;

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Managing economic volatility in Latin America

How has Latin America coped with external shocks and economic vulnerabilities in the aftermath of the global financial crisis? Managing;

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Regional Economic Outlook

The confluence of multiple adverse shocks - the turbulence in financial markets, high commodity prices, and the appreciation of the;

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The Limits of Surveillance and Financial Market Failure

financial stability while promoting better macroeconomic performance.;

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European Macroeconomics

approach and incorporates full treatment of European labour and financial institutions and markets, and covers the main macroeconomic theories and;

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