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  1. The future of financial markets and regulation: what strategy for Europe?
  2. Long-run determinants of current accounts in OECD countries: Lessons for intra-European imbalances
  3. Can External Shocks Explain the Asian Side of Global Imbalances? Lessons from a Structural VAR Model with Block Exogeneity
  4. Régulation financière et recomposition du Système Monétaire International