Central Bank Research Hub - JEL classification G15: International Financial Markets

Title Author(s)

Bank structure, funding risk and the transmission of shocks across countries: concepts and measurement

Bank for International Settlements Quarterly Review [View] (Paper: 1009h, 06.09.2010)

JEL: F34, G15, G21, Y10

Identifying Asymmetric Comovements of International Stock Market Returns

Bank of Canada Working papers [View] (Paper: 2010-21, 06.08.2010)

JEL: C49, F21, G15, G19

The crisis as a wake-up call. Do banks tighten screening and monitoring during a financial crisis?

Netherlands Bank DNB Working Papers [View] (Paper: 255, 05.08.2010)

JEL: D82, G15, G21

The role of macroeconomic policies in the global crisis

Bank of Italy Occasional Papers [View] (Paper: 69, 03.08.2010)

JEL: E52, F42, F43, F47, G15

Financial Amplification of Foreign Exchange Risk Premia

New York Fed Staff reports [View] (Paper: 461, 26.07.2010)

JEL: F31, G01, G15, G17

The discontinuous integration of Western Europe’s heterogeneous market for corporate control from 1995 to 2007

Deutsche Bundesbank Discussion Papers [View] (Paper: 201014, 19.07.2010)

JEL: F21, F23, F36, G15, G34, R12

Momentum in stock market returns: Implications for risk premia on foreign currencies

Swiss National Bank Working Papers [View] (Paper: 2010-11, 15.07.2010)

JEL: F31, F37, G15

Securities clearing and settlement in China: markets, infrastructures and policy-making

European Central Bank Occasional papers [View] (Paper: 116, 08.07.2010)

JEL: E58, G15, G18, G21, G28, P34

The impact of the global economic and financial crisis on central, eastern and south-eastern Europe: A stock-taking exercise

European Central Bank Occasional papers [View] (Paper: 114, 01.07.2010)

JEL: F15, F32, G01, G15, G18, H30

Multimarket trading and the cost of debt: evidence from global bonds,

European Central Bank Working papers [View] (Paper: 1212, 25.06.2010)

JEL: F36, G12, G15, G32

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