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Volatility and the welfare costs of financial market integration. (1998). Aizenman, Joshua ; Agénor, Pierre-Richard.
In: Policy Research Working Paper Series.
RePEc:wbk:wbrwps:1974.

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Cited: 9

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Cites: 19

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Cocites: 50

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  1. Norms, Legitimacy, and Global Financial Governance. (2006). Geoffrey R D Underhill, ; Zhang, Xiaoke.
    In: WEF Working Papers.
    RePEc:wef:wpaper:0013.

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  2. Growth, Uncertainty and Finance. (2005). Varvarigos, Dimitrios ; Blackburn, Keith .
    In: Money Macro and Finance (MMF) Research Group Conference 2005.
    RePEc:mmf:mmfc05:12.

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  3. Growth, Uncertainty and Finance. (2005). Varvarigos, Dimitrios ; Blackburn, Keith .
    In: The School of Economics Discussion Paper Series.
    RePEc:man:sespap:0525.

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  4. Growth, Uncertainty and Finance.. (2005). Varvarigos, D ; Blackburn, K.
    In: Centre for Growth and Business Cycle Research Discussion Paper Series.
    RePEc:man:cgbcrp:48.

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  5. PENSION REFORM AND CAPITAL MARKETS: ARE THERE ANY (HARD) LINKS?. (2002). Walker, Eduardo ; Lefort, Fernando.
    In: Abante.
    RePEc:pch:abante:v:5:y:2002:i:2:p:77-149.

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  6. Reserve Requirements on Sovereign Debt in the Presence of Moral Hazard -- on Debtors or Creditors?. (1999). Turnovsky, Stephen J ; Aizenman, Joshua.
    In: Working Papers.
    RePEc:udb:wpaper:0044.

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  7. Reserve Requirements on Sovereign Debt in the Presence of Moral Hazard -- on Debtors or Creditors?. (1999). Turnovsky, Stephen J ; Aizenman, Joshua.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:7004.

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  8. Reserve Requirements on Sovereign Debt in the Presence of Moral Hazard -- on Debtors or Creditors?. (1999). Turnovsky, Stephen J ; Aizenman, Joshua.
    In: Discussion Papers in Economics at the University of Washington.
    RePEc:fth:washer:0044.

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  9. Financial Crisis and Credit Crunch as a Result of Inefficient Financial Intermediation—with Reference to the Asian Financial Crisis. (1998). Chan-Lau, Jorge ; Chen, Zhaohui.
    In: International Finance.
    RePEc:wpa:wuwpif:9804001.

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References

References cited by this document

  1. Agenor, Pierre-Richard, and Joshua Aizenman, Contagion and Volatility with Imperfect Credit Markets, IMF Staff Papers, 45 (June 1998), 207-35.

  2. Aizenman, Joshua, Capital Mobility in a Second-Best World: Moral Hazard with Costly Financial Intermediation, Working Paper No. 6703, National Bureau of Economic Research (August 1998).

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  7. Claessens, Stijn, Ash Demirgiic-Kunt, and Harry Huizinga, How Does Foreign Entry Affect the Domestic Banking Market?, unpublished, the World Bank (February 1998).

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  12. Hellpman, Elhanan, The Simpile Analytics of Debt-Equity Swaps~ American Economic Review, 79 (June 1989), 440-51.
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  13. Levine, Ross, Foreign Banks, Financial Development, and Economic Growth, in international Financial Markets, ed. by Claude E. Barfield, American Enterprise Institute Press (Washington DC: 1996).
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  14. Milgrom, Paul, and D. J. Roberts, Limit Pricing and Entry under Incomplete Information: An Equilibrium Analysis, Econometrica, 50 (- 1982), 443-59.

  15. Obstfeld, Maurice, Risk-Taking, Global Diversification, and Growth, American Economic Review, 85 (December 1994), 1310-29.

  16. Sussman, Oren, A Theory of Financial Development, in Finance and Development: Issues and Experience, ed. by Alberto Giovannini, Cambridge University Press (Cambridge: 1993).
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  17. The Global Capital Market: benefactor or Hindrance?, Working Paper No. 6559, National Bureau of Economic Research (May 1998). Forthcoming, Journal of Economic Perspectives.
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  18. Townsend, Robert M., Optimal Contracts and Competitive Markets with Costly State Verification, Journal of Economic Theory, 21 (October 1979), 265-93.

  19. Williamson, Stephen D., Costly Monitoring, Financial Intermediation, and Equilibrium Credit Rationing, Journal of Monetary Economics, 18 (September 1986), 159-79.

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