All Stories

  1. Local context and exports: an analysis with a matched sample of firm–province data
  2. Internationalization choices: an ordered probit analysis at industry level
  3. International diversification and risk of multinational banks: Evidence from the pre-crisis period
  4. Exchange Rate, External Orientation of Firms and Wage Adjustment
  5. Do domestic and cross-border M&As differ? Cross-country evidence from the banking sector
  6. Exports versus Foreign Direct Investments
  7. FDI and Growth: What Cross-country Industry Data Say
  8. What do bank acquirers want? Evidence from worldwide bank M&A targets
  9. The Financial Systems of Industrial Countries
  10. Financial Systems: Introduction and Summary
  11. The exchange rate, employment and hours: What firm-level data say
  12. Multinational banking in Europe - financial stability and regulatory implications: lessons from the financial crisis
  13. Bank Cross-Border Mergers and Acquisitions (Causes, Consequences and Recent Trends)
  14. Bank Cross-Border Mergers and Acquisitions: Causes, Consequences, and Recent Trends
  15. The pricing effect of certification on syndicated loans
  16. Cross-border M&As in the financial sector: Is banking different from insurance?
  17. Where Do Banks Expand Abroad? An Empirical Analysis*
  18. Research and Development, Regional Spillovers and the Location of Economic Activities
  19. The patterns of cross-border bank mergers and shareholdings in OECD countries
  20. Investment and the exchange rate: An analysis with firm-level panel data
  21. Research, development and human capital accumulation
  22. Human Capital Accumulation, Social Mobility and Migrations
  23. The Italian Banking System: Facts and Interpretations
  24. FDI and Growth: What Cross-Country Industry Data Say
  25. FDI and Growth: What Cross-Country Industry Data Say
  26. FDI and Growth: What Cross-Country Industry Data Say
  27. Secured Lending and Borrowers' Riskiness
  28. banking industry
  29. The Role of Guarantees in Bank Lending
  30. Where Do Banks Expand Abroad? An Empirical Analysis
  31. Endogenous Growth in Open Economies: A Survey of Major Results
  32. Exchange Rate, External Orientation of Firms and Wage Adjustment
  33. Choosing Between Fixed and Adjustable Rate Mortgages
  34. The Pricing Effect of Certification on Bank Loans: Evidence from the Syndicated Credit Market
  35. Internationalization Choices: An Ordered Probit Analysis at Industry-Level
  36. Were Multinational Banks Taking Excessive Risks Before the Recent Financial Crisis?
  37. Were Multinational Bank Taking Excessive Risks Before the Recent Financial Crisis?
  38. What Do Foreigners Want? Evidence from Targets in Bank Cross-Border M&As
  39. The Determinants of Abandoned M&As in the Banking Sector
  40. The Patterns of Cross-Border Bank Mergers and Shareholdings in OECD Countries
  41. The Exchange Rate, Employment and Hours: What Firm-Level Data Say
  42. Do Multinational Banks Create or Destroy Economic Value?
  43. Why Do Banks Securitize Their Assets? Bank-Level Evidence from Over One Hundred Countries
  44. Are Universal Banks Better Underwriters? Evidence from the Last Days of the Glass-Steagall Act
  45. Are Domestic and Cross-Border M&As Different? Cross-Country Evidence From the Banking Sector
  46. Cross-Border M&As in the Financial Sector: Is Banking Different from Insurance
  47. Were Multinational Banks Taking Excessive Risks Before the Recent Financial Crisis?
  48. Multinational Banking in Europe: Financial Stability and Regulatory - Implications Lessons from the Financial Crisis
  49. Multinational Banking in Europe: Financial Stability and Regulatory Implications - Lessons from the Financial Crisis