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Economics of Monetary Union. (2009). , .
In: OUP Catalogue.
RePEc:oxp:obooks:9780199563234.

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  34. The Stability of Demand for Money in the Proposed Southern African Monetary Union. (2019). Biekpe, Nicholas ; Asongu, Simplice ; Folarin, Oludele.
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  37. Past and Current European Monetary Union Crises: Lessons for the Envisaged West African Monetary Union. (2019). Aliyu, Chika Usman ; Abdullahi, Yahya Zakari ; Nkwatoh, Louis Sevitenyi.
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  38. Central Bank Communication and Monetary Policy Predictability under Uncertain Economic Conditions. (2019). Lehtimäki, Jonne ; Palmu, Marianne.
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  51. Does the Clarity of Monetary Policy Reports Reduce Volatility in Financial Markets?. (2018). Jansen, David-Jan ; Cihak, Martin ; Bulir, Ales.
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  88. Macroeconomic policy interaction: State dependency and implications for financial stability in UK: A systemic review. (2016). Yago, Milton ; Nasir, Muhammad ; McMillan, David ; Soliman, Alaa M ; Wu, Junjie.
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  91. Central Bank Communication and Monetary Policy Effectiveness: Evidence from Thailand. (2016). Sethapramote, Yuthana ; Luangaram, Pongsak.
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  94. Editors Choice Reconciling Insurance with Market Discipline: a Blueprint for a European Fiscal Union. (2016). Peichl, Andreas ; Heinemann, Friedrich ; Fuest, Clemens ; Dolls, Mathias.
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  95. How the central bank’s reaction function in small open economies evolved during the crisis. (2016). Hałka, Aleksandra ; Halka, Aleksandra .
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  97. Unconventional Monetary Policy in a Currency Union with Segmentation in the Market for Government Debt. (2016). Tischbirek, Andreas.
    In: Cahiers de Recherches Economiques du Département d'Econométrie et d'Economie politique (DEEP).
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  98. The impact of population aging on public finance in the European Union. (2016). Zokalj, Mateo .
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  99. Budget-neutral fiscal rules targeting inflation differentials. (2016). Brede, Maren.
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  100. Political Budget Cycles: Manipulation from Leaders or Manipulation from Researchers? Evidence from a Meta-Regression Analysis. (2016). Mandon, Pierre ; Cazals, Antoine .
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  101. Optimal Monetary Policy in an Open Emerging Market Economy. (2016). Iyer, Tara.
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  102. Measuring fiscal spillovers in EMU and beyond: A Global VAR approach. (2016). Belke, Ansgar ; Osowski, Thomas.
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  103. Optimal Fiscal Simple Rules for Small and Large Countries of a Monetary Union. (2016). Vieira, Paulo ; Ribeiro, Ana Paula ; Machado, Celsa.
    In: EcoMod2016.
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  104. What to do when stagflation returns? Monetary and fiscal policy strategies for a monetary union. (2016). Neck, Reinhard ; Blueschke, Dmitri.
    In: The Journal of Economic Asymmetries.
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  105. Macroeconomic stabilization, monetary-fiscal interactions, and Europe’s monetary union. (2016). Schmidt, Sebastian ; Maćkowiak, Bartosz ; Jarociński, Marek ; Dedola, Luca ; Corsetti, Giancarlo ; Makowiak, Bartosz ; Jarociski, Marek.
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  106. Have monetary data releases helped markets to predict the interest rate decisions of the European Central Bank?. (2016). Jung, Alexander.
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  107. Reconciling Insurance with Market Discipline: A Blueprint for a European Fiscal Union. (2016). Peichl, Andreas ; Heinemann, Friedrich ; Fuest, Clemens ; Dolls, Mathias.
    In: CESifo Working Paper Series.
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  108. Political Budget Cycles: Manipulation from Leaders or Manipulation from Researchers? Evidence from a Meta-Regression Analysis. (2016). Mandon, Pierre ; Cazals, Antoine .
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  109. Macroeconomic Stabilization, Monetary-fiscal Interactions, and Europe’s monetary Union. (2016). Maćkowiak, Bartosz ; Corsetti, G ; Schmidt, S ; Makowiak, B ; Jarociski, M ; Dedola, L.
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  110. A Feasible Unemployment-Based Shock Absorber for the Euro Area. (2016). D'Amuri, Francesco ; Carta, Francesca ; Brandolini, Andrea.
    In: Journal of Common Market Studies.
    RePEc:bla:jcmkts:v:54:y:2016:i:5:p:1123-1141.

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  111. Reconciling insurance with market discipline: A blueprint for a European fiscal union. (2015). Peichl, Andreas ; Heinemann, Friedrich ; Fuest, Clemens ; Dolls, Mathias.
    In: ZEW Discussion Papers.
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  112. The Optimal Monetary and Fiscal Policy Mix in a Financially Heterogeneous Monetary Union. (2015). Palek, Jakob .
    In: Annual Conference 2015 (Muenster): Economic Development - Theory and Policy.
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  113. Monetary Policy and Welfare in a Currency Union. (2015). Daguanno, Lucio .
    In: The Warwick Economics Research Paper Series (TWERPS).
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  114. Demand-driven propagation : evidence from the great recession. (2015). Nguyen, Ha ; Minh, HA.
    In: Policy Research Working Paper Series.
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  115. The causal nexus between trust, institutions and cooperation in international relations. (2015). Elhardt, Christoph .
    In: Journal of Trust Research.
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  116. A Literature Survey on Proposed African Monetary Unions. (2015). Tchamyou, Vanessa ; Nwachukwu, Jacinta ; Asongu, Simplice.
    In: MPRA Paper.
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  117. On Origins and Implications of the Sovereign Debt Crisis in the Euro Area. (2015). Mirdala, Rajmund ; Ruakova, Anna .
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  118. Empirical Evidence on the Long-Run Money Demand Function in the GCC Countries. (2015). sbia, rashid ; HAMDI, Helmi ; Said, Ali .
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  119. Volatility in European Regions. (2015). Parenti, Angela ; Fiaschi, Davide ; Gianmoena, Lisa ; Brunetti, Irene.
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  120. Lessons from the crisis.Did central banks do their homework?. (2015). Hałka, Aleksandra ; Haka, Aleksandra.
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  121. The Optimal Monetary and Fiscal Policy Mix in a Financially Heterogeneous Monetary Union. (2015). Palek, Jakob .
    In: MAGKS Papers on Economics.
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  122. Macroeconomic Adjustment and Institutional Reforms in the Euro Area. (2015). Weyerstrass, Klaus ; Keuschnigg, Christian.
    In: International Advances in Economic Research.
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  123. GOUVERNANCE ECONOMIQUE ET STABILISATION DES CHOCS ASYMETRIQUES: Quel mécanisme pour une meilleure viabilité de la CEMAC ?. (2015). Mfossa, Patrick-Herve Mbouombouo .
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  124. Coordination and Crisis in Monetary Unions. (2015). Gopinath, Gita ; Farhi, Emmanuel ; Aguiar, Mark ; Amador, Manuel.
    In: Staff Report.
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  125. Price level and inflation in the GCC countries. (2015). Murshed, Hasan ; Nakibullah, Ashraf.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:39:y:2015:i:c:p:239-252.

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  126. Flood risk, land use and private participation in embankment maintenance in Indian Sundarbans. (2015). Sarkhel, Prasenjit .
    In: Ecological Economics.
    RePEc:eee:ecolec:v:118:y:2015:i:c:p:272-284.

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  127. Empirical Evidence on the Long-Run Money Demand Function in the Gulf Cooperation Council Countries. (2015). sbia, rashid ; HAMDI, Helmi ; Said, Ali .
    In: International Journal of Economics and Financial Issues.
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  128. Potential Output and Fiscal Rules in a Monetary Union under Asymmetric Information. (2015). Marattin, Luigi ; Meraglia, S.
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  129. Monetary Policy and Welfare in a Currency Union. (2015). D'Aguanno, Lucio.
    In: Economic Research Papers.
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  130. A Literature Survey on Proposed African Monetary Unions. (2015). Tchamyou, Vanessa ; Nwachukwu, Jacinta ; Asongu, Simplice.
    In: Working Papers of the African Governance and Development Institute..
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  131. A Literature Survey on Proposed African Monetary Unions. (2015). Tchamyou, Vanessa ; Asongu, Simplice ; Nwachukwu, Jacinta C.
    In: Research Africa Network Working Papers.
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  132. Elemente einer Fiskalverfassung für die Eurozone. (2014). Schmidt, Andre .
    In: Beiträge zur Jahrestagung 2014 (Goettingen).
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  133. Systematic fiscal policy and macroeconomic performance: A critical overview of the literature. (2014). Reicher, Claire.
    In: Economics - The Open-Access, Open-Assessment E-Journal.
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  134. Systematic fiscal policy and macroeconomic performance: A critical overview of the literature. (2014). Reicher, Claire.
    In: Economics Discussion Papers.
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  135. Inflation Stabilization and Default Risk in a Currency Union. (2014). Picard, Pierre ; OKANO, Eiji ; Hamano, Masashige ; Eiji, Okano.
    In: UTokyo Price Project Working Paper Series.
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  136. How to stabilize inflation without damaging employment: Strenghtening the power of unions.. (2014). BARBIER-GAUCHARD, Amélie ; Diana, Giuseppe ; de Palma, Francesco .
    In: Working Papers of BETA.
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  137. The (Home) Bias of European Central Bankers: New Evidence Based on Speeches. (2014). Neuenkirch, Matthias ; Bennani, Hamza.
    In: Research Papers in Economics.
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  138. Central Bank Communication in the Financial Crisis: Evidence from a Survey of Financial Market Participants. (2014). Neuenkirch, Matthias ; Hayo, Bernd.
    In: Research Papers in Economics.
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  139. Credit risk-free sovereign bonds under Solvency II: a cointegration analysis with consistently estimated structural breaks. (2014). Ludwig, Alexander.
    In: Applied Financial Economics.
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  140. High public debt in the euro area: still a fact. (2014). stoian, andreea ; Alves, Rui.
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  141. Coordination and Crisis in Monetary Unions. (2014). Gopinath, Gita ; Farhi, Emmanuel ; Amador, Manuel ; Aguiar, Mark.
    In: NBER Working Papers.
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  142. Optimal Monetary Policy in a Currency Union: Implications of a Country-specific Cost Channel. (2014). Michaelis, Jochen ; Palek, Jakob .
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  143. Topics in Fiscal Policy: Evidence from a Representative Survey of the German Population. (2014). Neumeier, Florian ; Hayo, Bernd ; Uhl, Matthias.
    In: MAGKS Papers on Economics.
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  144. Central Bank Communication in the Financial Crisis: Evidence from a Survey of Financial Market Participants. (2014). Neuenkirch, Matthias ; Hayo, Bernd.
    In: MAGKS Papers on Economics.
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  145. How to stabilize inflation without damaging employment: Strenghtening the power of unions. (2014). BARBIER-GAUCHARD, Amélie ; Diana, Giuseppe ; de Palma, Francesco .
    In: Working Papers of LaRGE Research Center.
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  146. Hypnosis Before Wake-up Call? The Revival of Sovereign Credit Risk Perception in the EMU-Crisis. (2014). Schmid, Kai ; Bordon, Ingo G. ; Schmidt, Michael.
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  147. Welfare Reversals in a Monetary Union. (2014). Eyquem, Aurélien ; Auray, Stéphane.
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  148. Monetary Policy and Real Cost Imbalances in Currency Unions. (2014). Gori, Filippo ; Djaji, Slobodan.
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  149. Industry co-movement and cross-listing: Do home country factors matter?. (2014). Lee, Chien-Chiang ; Chang, Chi-Hung ; Chen, Mei-Ping.
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  150. Intra-industry trade between CESEE countries and the EU15. (2014). Orszaghova, Lucia ; Dautovic, Ernest ; Schudel, Willem.
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  151. Openness and the (inverted) aggregate demand logic. (2014). Boerma, Job.
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  152. Hypnosis Before Wake-up Call?! The Revival of Sovereign Credit Risk Perception in the EMU-Crisis. (2014). Schmid, Kai ; Bordon, Ingo G. ; Schmidt, Michael.
    In: CESifo Working Paper Series.
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  153. Antitrust risk in EU manufacturing: A sector-level ranking. (2014). Mariniello, Mario ; Antonielli, Marco .
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  154. Optimal fiscal policy of a monetary union member. (2014). Orjasniemi, Seppo .
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  155. EURO MEMBERSHIP, FOREIGN BANKS AND CREDIT DEVELOPMENTS DURING THE FINANCIAL CRISIS IN SLOVAKIA: A CASE STUDY. (2014). Wörgötter, Andreas ; Fidrmuc, Jarko ; Wrgtter, Andreas .
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  156. EURO MEMBERSHIP, FOREIGN BANKS AND CREDIT DEVELOPMENTS DURING THE FINANCIAL CRISIS IN SLOVAKIA: A CASE STUDY. (2014). Wrgtter, Andreas .
    In: Acta Oeconomica et Informatica.
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  157. Misaligned distance: Why distance can have a positive effect on trade in agricultural. (2014). Dreyer, Heiko .
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  158. The euro as a proxy for the classical gold standard? Government debt financing and political commitment in historical perspective. (2013). Hoffmann, Andreas.
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  159. On the bottom-up foundations of the banking-macro nexus. (2013). Wackerle, Manuel .
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  160. A transfer mechanism for a monetary union. (2013). Voigts, Simon ; Engler, Philipp.
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  161. Convergence and Divergences in the European Economy: Rebalancing and Being Competitive in a Non-optimal Monetary Union. (2013). Ferran Brunet, .
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  162. The eurozone: piecemeal approach to an optimum currency area. (2013). Handler, Heinz.
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  163. Regional Initiative in the Gulf Arab States: The Search for a Common Currency. (2013). Basher, Syed ; Abul, Basher Syed .
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  164. The Optimal Design of a Fiscal Union. (2013). Hoddenbagh, Jonathan ; Dmitriev, Mikhail.
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  165. Monetary Transmission Mechanism in the East African Community; An Empirical Investigation. (2013). Pinter, Gabor ; S. V. S. Dixit, ; Davoodi, Hamid R.
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  166. A Transfer Mechanism for a Monetary Union. (2013). Voigts, Simon ; Engler, Philipp.
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  167. Welfare Reversals in a Monetary Union. (2013). Eyquem, Aurélien ; Auray, Stéphane.
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  168. Optimal monetary policy in a currency union with interest rate spreads. (2013). Park, Woong Yong ; Lee, Jae Won ; Bhattarai, Saroj.
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  169. Troubles in the Euro Area Periphery: The View through the Lens of a Simple Convergence-Sensitive Optimum Currency Area Index. (2013). Skořepa, Michal ; Skorepa, Michal .
    In: Czech Journal of Economics and Finance (Finance a uver).
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  170. The Future of the CEMAC CFA FRANC. (2013). Agbor, Julius.
    In: Eurasian Journal of Economics and Finance.
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  171. Granger-causality in peripheral EMU public debt markets: A dynamic approach. (2013). Sosvilla-Rivero, Simon ; Gómez-Puig, Marta ; Gomez-Puig, Marta.
    In: Journal of Banking & Finance.
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  172. Estimating the effects of coordinated fiscal actions in the euro area. (2013). Zimmermann, Tom ; Hebous, Shafik.
    In: European Economic Review.
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  173. Productivity shocks, stabilization policies and the dynamics of net foreign assets. (2013). Nisticò, Salvatore ; Di Giorgio, Giorgio ; Nistico, Salvatore.
    In: Journal of Economic Dynamics and Control.
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  174. On the efficiency of monetary and fiscal policy in open economies. (2013). zou, heng-fu ; Wang, Chan.
    In: Annals of Economics and Finance.
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  175. Aggregate Fluctuations and International Migration. (2013). bricongne, jean-charles ; Bourgeon, Pauline ; Beine, Michel.
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  176. The Euro as a Proxy for the Classical Gold Standard? Government Debt Financing and Political Commitment in Historical Perspective. (2013). Hoffmann, Andreas.
    In: Journal des Economistes et des Etudes Humaines.
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  177. Modelling Monetary Union in Southern Africa: Welfare Evaluation for the CMA and SADC. (2013). Masson, Paul ; Debrun, Xavier.
    In: South African Journal of Economics.
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  178. Writing Clearly: The ECB s Monetary Policy Communication. (2013). Smidkova, Katerina ; Cihak, Martin ; Bulir, Ales.
    In: German Economic Review.
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  179. Aggregate Fluctuations and International Migration.. (2013). bricongne, jean-charles ; Bourgeon, Pauline ; BRICONGNE, J-C., ; Beine, M. ; Bricongne,J-C., .
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  180. Renminbi jako waluta miedzynarodowa - stan obecny oraz ocena perspektyw / Renminbi as international currency - current state and potential perspectives. (2013). Serwach, Tomasz .
    In: International Economics.
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  181. Current Imbalances and Main Adjustment Mechanisms in the European Monetary Union. (2013). Matei, Gheorghe ; APOSTOL, Luiza .
    In: Finante - provocarile viitorului (Finance - Challenges of the Future).
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  182. Fiscal Policy, Monetary Regimes and Current Account Dynamics. (2012). Hohberger, Stefan ; Herz, Bernhard.
    In: Annual Conference 2012 (Goettingen): New Approaches and Challenges for the Labor Market of the 21st Century.
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  183. EMU, the changing role of public debt and the revival of sovereign credit risk perception. (2012). Schmid, Kai ; Schmidt, Michael.
    In: University of Tuebingen Working Papers in Economics and Finance.
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  184. Konstruktionsfehler von festen Wechselkurssystemen: Die Europäische Währungsunion als Musterbeispiel?. (2012). .
    In: Arbeitspapiere der Nordakademie.
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  185. Legitimacy intermediation in the multilevel European polity and its collapse in the euro crisis. (2012). .
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  186. Has the financial crisis eroded citizens trust in the European Central Bank? Panel data evidence for the Euro area, 1999-2011. (2012). Nowak-Lehmann D., Felicitas ; Gros, Daniel ; Nowak-Lehmann D., Felicitas, ; Roth, Felix.
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  187. The Advantage of Flexible Targeting Rules. (2012). Ferrero, Andrea.
    In: Journal of Money, Credit and Banking.
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  188. Central Bank Communication and the Perception of Monetary Policy by Financial Market Experts. (2012). Nautz, Dieter ; Schmidt, Sandra .
    In: Journal of Money, Credit and Banking.
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  189. Should Europe Become a Fiscal Union?. (2012). Keuschnigg, Christian.
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  190. Welche Finanz- und Wirtschaftspolitik braucht Europa?. (2012). Keuschnigg, Christian.
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  191. The role of fiscal delegation in a monetary union: a survey of the political economy issues. (2012). de Blas, Beatriz ; Costain, James.
    In: Working Papers in Economic Theory.
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  192. Investigating Long-Run Demand for Broad Money in the Gulf Arab Countries. (2012). Fachin, Stefano ; Basher, Syed.
    In: DSS Empirical Economics and Econometrics Working Papers Series.
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  193. The Sustainability of Monetary Unions. Can the Euro Survive?. (2012). Piersanti, Giovanni ; Marini, Giancarlo ; Canofari, Paolo.
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  194. The Theory of Endogenous Optimum Currency Areas: A Critical Note - La teoria delle aree monetarie ottimali endogene: una nota critica. (2012). Praussello, Franco.
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  195. Failing Institutions Are at the Core of the Euro Crisis. (2012). Shachmurove, Yochanan ; Nowak, Alojzy Z..
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  196. Economic cycle synchronization in the context of financial crisis: empirical evidence of Denmark, Sweden and United Kingdom. (2012). Kapounek, Svatopluk ; Seka, Jan.
    In: Acta Universitatis Agriculturae et Silviculturae Mendelianae Brunensis.
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  197. Economic Institutions And The Euro. (2012). Shachmurove, Yochanan ; Nowak, Alojzy .
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  198. Optimal Monetary Policy in a Currency Union: The Role of the Cost Channel. (2012). Michaelis, Jochen.
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  199. On the choice of an anchor for the GCC currency: does the symmetry of shocks extend to both the oil and the non-oil sectors?. (2012). Balli, Faruk ; Louis, Rosmy Jean ; Osman, Mohamed.
    In: International Economics and Economic Policy.
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  200. Alberto Alesina: The Science of Using Political Economy Concepts to Explain the Macroeconomic Landscape. (2012). Hughes Hallett, Andrew.
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  201. Estonian and Hungarian Economic Policies before and during the Crisis: Virtue Unrewarded and Profligacy Unpunished. (2012). Koronowski, Adam .
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  202. EMU and the Renaissance of Sovereign Credit Risk Perception. (2012). Schmid, Kai ; Schmidt, Michael.
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  203. Twelve Years on from the Adoption of the Emu: An Ex-Post Assessment on the Process of Convergence of Southern and Central-Northern Italy. (2012). Ofria, Ferdinando.
    In: International Journal of Academic Research in Accounting, Finance and Management Sciences.
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  204. Optimal Monetary Policy in an Estimated Local Currency Pricing Model. (2012). OKANO, Eiji ; Gunji, Hiroshi ; Miyazaki, Tomomi ; Eguchi, Masataka.
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  205. Public Support for the Single European Currency, the Euro, 1990 to 2011. Does the Financial Crisis Matter?. (2012). Nowak-Lehmann D., Felicitas ; Jonung, Lars ; Roth, Felix ; Nowak-Lehmann D., Felicitas, .
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  206. The Oil Curse and Labor Markets: The Case of Saudi Arabia. (2012). Al-Sheikh, Hend ; Erbas, Nuri S.
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  207. What Germany should fear most is its own fear: An analysis of Target2 and current account imbalances. (2012). De Grauwe, Paul ; DeGrauwe, Paul ; Ji, Yuemei.
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  208. Daily pricing of emerging market sovereign CDS before and during the global financial crisis. (2012). Neuenkirch, Matthias ; Hayo, Bernd ; Fender, Ingo.
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  209. The determinants of sovereign credit spread changes in the Euro-zone. (2012). Nunes, Joo Pedro ; Oliveira, Lus ; Curto, Jos Dias .
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  210. Federal fiscal transfer rules in monetary unions. (2012). Evers, Michael.
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  211. On the efficiency of monetary and fiscal policy in open economies. (2012). zou, heng-fu ; Wang, Chan.
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  212. Should Europe Become a Fiscal Union?. (2012). Keuschnigg, Christian.
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  213. Should Europe Become a Fiscal Union?. (2012). Keuschnigg, Christian.
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  214. Estimating the Effects of Coordinated Fiscal Actions in the Euro Area. (2012). Zimmermann, Tom ; Hebous, Shafik.
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  215. Determinants of the Foreign Exchange Risk Premium in the Gulf Cooperation Council Countries. (2012). Poghosyan, Tigran.
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  216. East African Regional Integration: Challenges in meeting the convergence criteria for monetary union. (2012). Kuteesa, Annette.
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  217. Monetary union, fiscal crisis and the preemption of democracy. (2011). Scharpf, Fritz W..
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  218. Canadian Interest Rate Setting: The Information Content of Canadian and U.S. Central Bank Communication. (2011). Neuenkirch, Matthias ; Hayo, Bernd.
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  219. FOMC Communication Policy and the Accuracy of Fed Funds Futures. (2011). Middeldorp, Menno.
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  220. Central Bank Transparency, the Accuracy of Professional Forecasts, and Interest Rate Volatility. (2011). Middeldorp, Menno.
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  221. Pluralism, Academic Freedom, and Heterodox Economics. (2011). Garnett, Robert .
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  222. Kryzys finansów publicznych czy kryzys płatniczy krajów PIIGS?. (2011). Koronowski, Adam.
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  223. Doświadczenia z reform fiskalnych w okresie tworzenia Unii Gospodarczej i Walutowej. (2011). Gajewski, Pawe.
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  224. Limited Liability Government Debt for the Eurozone -super-†. (2011). Milne, Alistair ; Alistair K. L. Milne, .
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  225. Estimating monetary policy reaction functions : A discrete choice approach. (2011). Boeckx, Jef.
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  226. Stable and enforceable: a new fiscal framework for the Euro area. (2011). Hughes Hallett, Andrew ; Jensen, Svend .
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  227. Former Officials and Subsidies to State-owned Enterprises. (2011). Min, Heechul.
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  228. Are Middle Eastern Current Account Imbalances Excessive?. (2011). Cashin, Paul ; Beidas-Strom, Samya.
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  229. Monetary Policy and Performance of the Oil-Exporting Gulf Cooperation Council Countries. (2011). Nakibullah, Ashraf.
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  230. Has the Financial Crisis eroded Citizens Trust in the European Central Bank? Panel Data Evidence for the Euro Area,1999-2011. (2011). Roth, Felix ; Gros, Daniel ; Nowak-Lehmann, Felicitas.
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  231. Monetary Union, Fiscal Crisis and the Preemption of Democracy. (2011). Scharpf, Fritz W..
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  232. Essay on Establishing Conversion Values for the Planned Gulf Cooperation Council (GCC) Currency Union. (2011). Kamar, Bassem ; Bakardzhieva, Damyana ; Carlotti, Jean-Etienne ; Krueger, Russell .
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  233. Asymmetric Shocks and Monetary Disintegration: The Case of the Eurozone. (2011). Praussello, Franco .
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  234. Stabilization Constraints from different-average Public Debt Levels in a Monetary Union with Country-size Asymmetry. (2011). Ribeiro, Ana Paula ; Machado, Celsa.
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  235. Monetary union, fiscal crisis and the preemption of democracy. (2011). Scharpf, Fritz W..
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  236. The paradox of liberalization – understanding dualism and the recovery of the German political economy. (2011). Hassel, Anke .
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  237. Towards a more integrated, symmetric and viable EMU. (2011). Norn, Ronny .
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  238. Strategic IPOs and product market competition. (2011). Lyandres, Evgeny ; Chod, Jiri .
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  239. Is the dollar peg suitable for the largest economies of the Gulf Cooperation Council?. (2011). Squalli, Jay.
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  240. Marketing-driven channel coordination with revenue-sharing contracts under price promotion to end-customers. (2011). Sheu, Jiuh-Biing .
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  241. Discretionary policy in a monetary union with sovereign debt. (2011). Wren-Lewis, Simon ; Leith, Campbell.
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  242. Ramsey policies in a small open economy with sticky prices and capital. (2011). Eyquem, Aurélien ; de Blas, Beatriz ; Auray, Stéphane.
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  243. Welfare Implications of Regional Asymmetries in a Monetary Union. (2011). Staveley-O'Carroll, Olena ; Mykhaylova, Olena .
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  244. The Restoration of Welfare Economics. (2011). Atkinson, Anthony.
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  245. Transfer union or common bond? On the moral economy of the eurozone. (2010). Lenhard, Johannes ; Dodd, Nigel .
    In: economic sociology_the european electronic newsletter.
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  246. On the International Dimension of Fiscal Policy. (2010). Benigno, Gianluca ; de Paoli, Bianca.
    In: Journal of Money, Credit and Banking.
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  247. Global crisis and national policy responses: together alone?. (2010). Braga de Macedo, Jorge.
    In: FEUNL Working Paper Series.
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  248. On the choice of an anchor for the GCC currency: does the symmetry of shocks extend to both the oil and the non-oil sectors. (2010). Balli, Faruk ; Osman, Mohamed ; Louis, Rosmy Jean.
    In: MPRA Paper.
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  249. The Effects of Discretionary Fiscal Policy on Macroeconomic Aggregates: A Reappraisal. (2010). Hebous, Shafik.
    In: MPRA Paper.
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  250. WTO Regulations and Bioenergy Sustainability Certification – Synergies and Possible Conflicts. (2010). Kay, Adrian ; Ackrill, Robert.
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  251. Should African Monetary Unions Be Expanded? An Empirical Investigation of the Scope for Monetary Integration in Sub-Saharan Africa. (2010). Masson, Paul ; Pattillo, Catherine A ; Debrun, Xavier.
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  252. Do Federal Reserve communications help predict federal funds target rate decisions?. (2010). Neuenkirch, Matthias ; Hayo, Bernd.
    In: Journal of Macroeconomics.
    RePEc:eee:jmacro:v:32:y:2010:i:4:p:1014-1024.

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  253. EMU and European government bond market integration. (2010). Gómez-Puig, Marta ; Chuliá, Helena ; Abad, Pilar ; Chulia, Helena ; Gomez-Puig, Marta.
    In: Journal of Banking & Finance.
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  254. Optimal Monetary Policy in a Monetary Union with Housing and Credit Market Heterogeneity. (2010). Wollmershäuser, Timo ; Hristov, Nikolay ; Hülsewig, Oliver ; Wollmershauser, Timo ; Elstner, Steffen ; Hulsewig, Oliver.
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  255. Optimal Monetary Policy in a Monetary Union with Housing and Credit Market Heterogeneity. (2010). Hristov, Nikolay ; Wollmershauser, Timo ; Elstner, Steffen ; Hulsewig, Oliver.
    In: Working Paper / FINESS.
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  256. La théorie des zones monétaires optimales au regard de leuro : Quels enseignements après dix années dunion économique et monétaire en Europe ?. (2010). Senegas, Marc-Alexandre.
    In: Revue d'économie politique.
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  257. External trade and monetary policy in a currency area. (2010). Cecioni, Martina.
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  258. The Macroeconomic Costs and Benefits of the EMU and Other Monetary Unions: An Overview of Recent Research. (2010). Giuliodori, Massimo ; Beetsma, Roel.
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  259. Optimal devaluations. (2009). Nicolini, Juan Pablo ; Hevia, Constantino.
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  260. Taking Real Rigidities Seriously: Implications for Optimal Policy Design in a Currency Union. (2009). Lieb, Lenard.
    In: Research Memorandum.
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  261. Current and future monetary cooperation with a focus on the possible monetary union of Gulf Cooperation Council. (2009). DRASTICHOV, Magdalena .
    In: Proceedings of FIKUSZ '09.
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  262. Establishing Conversion Values for New Currency Unions; Method and Application to the planned Gulf Cooperation Council (GCC) Currency Union. (2009). Krueger, Russell C ; Carlotti, Jean-Etienne ; Kamar, Bassem M.
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  263. On the GCC Currency Union. (2009). Razzak, Weshah.
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  264. The communication policy of the European Central Bank: An overview of the first decade. (2009). Jansen, David-Jan ; de Haan, Jakob.
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  265. Systemic and Idiosyncratic Risk in EU†15 Sovereign Yield Spreads after Seven Years of Monetary Union. (2009). Puig, Marta Gmeza.
    In: European Financial Management.
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  266. The Effects of Money-financed Fiscal Stimulus in a Small Open Economy. (). OKANO, Eiji ; Eguchi, Masataka.
    In: Dynare Working Papers.
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