All Stories

  1. Perceptions on jurisdiction risk: a cross-country analysis
  2. Cross-jurisdictional financial crime risks: what can we learn from the UK regulatory data?
  3. Calibration issues under the EU capital regime for investment firms
  4. Growth effects of inflation targeting revisited: empirical evidence from emerging markets
  5. Liability dollarization, exchange market pressure and fear of floating: empirical evidence for Turkey
  6. Finance–growth nexus revisited for some Asian countries
  7. Long-run relationship between income inequality and financial development in China
  8. Do macroeconomic fundamentals affect exchange market pressure? Evidence from bounds testing approach for Turkey
  9. Finance-growth nexus in China revisited: New evidence from principal components and ARDL bounds tests
  10. Explaining exchange rate movements: an application of the market microstructure approach on the Pakistani foreign exchange market
  11. Determinants of Exchange Market Pressure in Turkey: An Econometric Investigation
  12. CURRENCY CRISES IN EMERGING MARKETS: THE CASE OF POST-LIBERALIZATION TURKEY