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1. The Cyclical Behaviour of Fiscal Policy During the Covid-19 Crisis

2. The European Banks’ Role in the Financial Crisis of 2007-8: A Critical Assessment

3. The Cyclical Behaviour of Fiscal Policy During the Covid-19 Crisis

4. Ups and Downs in Finance, Ups without Downs in Inequality

5. China’s FDI in Europe and Europe’s Policy Response

6. Beyond Coronabonds: A New Constituent for Europe

7. Bank recapitalizations in Greece: From state-led bailouts to the ownership transfer of banks to foreign hands

8. It’s Time for a New Deal

9. The economic impact of COVID-19 on the EU: From the frying pan into the fire

10. Causal Mechanism and Explanation in Social Science

11. When more delivers less: Comparing the US and French COVID-19 crisis responses

12. Creation of a European Solidarity Funds: Directing Europeans’ savings towards their growth companies

13. Causal Mechanism and Explanation in Social Science

14. The International Monetary Fund’s Role in Overcoming Economic Crisis in PIIGS

15. Evolve or Perish: The Global Forces Changing the Business of Banks

16. Consolidating Neoliberalism through Privatisation: The Case of the EU after the Eurozone Crisis

17. Spain’s Labor Migration Policies in the Aftermath of Economic Crisis

18. Euro-area Governance Reform: The Unfinished Agenda

19. When the Greek Political System Clashed with Europe: Why the Greek Sovereign-Debt Crisis is Taking so Long to End

20. Potential impact of financial innovation on financial services and monetary policy

21. Stabilization Policies and Structural Developments: Poland and the Crises of 1929 and 2008

22. Domestic Cycles, Financial Cycles, and Policies. What Has Gone Wrong?

23. Good and Bad Banking on Europe’s Periphery: Pathways to Catching Up and Falling Behind

24. Fiscal Sustainability: Conceptual, Institutional, and Policy Issues

25. Change in Economic Policy Paradigm: Privatization and State Capture in Poland

26. The EuroZone “Debt” Crisis: Another “Center” – “Periphery” Crisis Under Financial Globalization?

27. Revisiting the Latvian and Greek Financial Crises: The Benefits of Front-Loading Fiscal Adjustment

28. On Competition in the Banking Sector in Poland and Europe Before and During the Crisis

29. The Shadow Banking System of China and International Regulatory Cooperation

30. Greece and the European Project: Canary in the Coal Mine?

31. Three Myths Behind the Case for Grexit: A Destructive Analysis

32. No Exit from the Euro-rescuing Trap?

33. Monetary Disunion: The Domestic Politics of Euroland

34. The Urban Regeneration Experience of The United Kingdom: Lessons for Turkey

35. Germany and the Future of the Eurozone

36. Reforming Finance: Macro and Micro Perspectives

37. The IMF's Preferred Creditor Status: Does It Still Make Sense After the Euro Crisis?

38. The EMS Crisis of the 1990s: Parallels with the present crisis?

39. Exports and Capacity Constraints: A smooth transition regression model for six euro-area countries

40. Beyond the Euro Crisis: European constitutional dilemmas and Treaty amendments

41. Is the EMU ready for future shocks? An overview of available backstops

42. What future for the eurozone? Combining discipline, solidarity and institutional reforms

43. Versailles Redux? Eurozone Competitiveness in a Dynamic Balassa-Samuelson-Penn Framework

44. Reforming the Global Architecture of Financial Regulation: The G20, the IMF and the FSB

45. European Banking Union: An Immediate Tool for Euro Crisis Management and a Long-Term Project for the Single Market

46. ECB Policy and Eurozone Fragility: Was De Grauwe Right?

47. Bank Interventions and Options-based Systemic Risk: Evidence from the Global and Euro-area Crisis

48. Forecasting Financial Stress and the Economic Sensitivity in CEE Countries