Zobrazeno 1 - 10
of 22
pro vyhledávání: '"Bracke, Thierry"'
Autor:
Bracke, Thierry
Publikováno v:
Il Politico, 2020 Jan 01. 851(252), 89-102.
Externí odkaz:
https://www.jstor.org/stable/48795234
Autor:
Bracke, Thierry, Fidora, Michael
Publikováno v:
In North American Journal of Economics and Finance August 2012 23(2):185-202
Publikováno v:
World Economy. Sep2010, Vol. 33 Issue 9, p1140-1174. 35p. 1 Chart, 18 Graphs, 1 Map.
Autor:
Bracke, Thierry1 thierry.bracke@ecb.int, Schmitz, Martin2 schmitzm@tcd.ie
Publikováno v:
International Economics & Economic Policy. 2011, Vol. 8 Issue 1, p45-78. 34p. 8 Charts, 7 Graphs.
Autor:
Bracke, Thierry, Bunda, Irina
Publikováno v:
SSRN Electronic Journal.
The paper provides a measure of exchange rate anchoring behaviour across 149 emerging market and developing economies for the 1980-2010 period. An extension of the Frankel and Wei (2008) methodology is used to determine whether exchange rates are peg
Autor:
Bracke, Thierry, Geis, André, Habib, Maurizio, Móré, Csaba, Polgár, Éva Katalin, Winkler, Adalbert, Cocozza, Emidio, Backé, Peter
This paper reviews financial stability challenges in the EU candidate countries Croatia, Turkey and the former Yugoslav Republic of Macedonia. It examines the fi nancial sectors in these three economies, which, while at very different stages of devel
Externí odkaz:
https://explore.openaire.eu/search/publication?articleId=od______1687::276cd7144bd0cc3568a053ebb0095fa6
https://hdl.handle.net/10419/154548
https://hdl.handle.net/10419/154548
Autor:
Bracke, Thierry, Schmitz, Martin
Global financial integration unlocks a huge potential for international risk sharing. We examine the degree to which international equity holdings act as a risk sharing device in industrial and emerging economies. We split equity returns into investm
Externí odkaz:
https://explore.openaire.eu/search/publication?articleId=od______1687::d3694871aec1619c6ad895e69eb4eb4b
https://hdl.handle.net/10419/153372
https://hdl.handle.net/10419/153372
Autor:
Bracke, Thierry, Fidora, Michael
Since the late-1990s, the global economy is characterised by historically low risk premia and an unprecedented widening of external imbalances. This paper explores to what extent these two global trends can be understood as a reaction to three struct
Externí odkaz:
https://explore.openaire.eu/search/publication?articleId=od______1687::44eddeb81bb0aa67fd30b8eb41474a02
https://hdl.handle.net/10419/153345
https://hdl.handle.net/10419/153345
In this paper, we take a systematic look at global imbalances. First, we provide a definition of the phenomenon, and relate global imbalances to widening external positions of systemically important economies that reflect distortions or entail risks
Externí odkaz:
https://explore.openaire.eu/search/publication?articleId=od______1687::6833c5ac1dbeb9a9bdc3d345f06f2427
https://hdl.handle.net/10419/154531
https://hdl.handle.net/10419/154531